June 19, 2015
2009 – 2010 M.Sc. in Stock Exchange and Financial Markets. Instituto de Estudios Bursátiles (IEB)
2008 – 2009 M.A. in Applied Economics. Universidad de Valladolid
2004 – 2008 B.A. in Economics. Universidad de Valladolid.
Currently Guillermo is ecnomist of Recovery and Resolution Policies at BBVA Research.
Previous at BBVA Group, Guillermo has been analyst in Corporate & Investment Banking (2010-2014). Prior to BBVA Guillermo has been junior portfolio manager at Nordkapp Asset Management (2009-2010).
May 14, 2015