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Portfolio Manager, Euro Sovereign Product

Alberto is a portfolio manager specialised in yield curve and rates. He joined the team in February 2018.

Alberto started his career in BNP Paribas Asset Management in 2016. He was part of the risk team in London as a model and market risk analyst. He was in charge of the counter valuation of complex products – namely equity derivatives, CMS, EQS, exotic options –, the validation and development of pricing models and tools and the monitoring of risks limits and targets for different investment teams.

Currently, he is responsible for the management of the flagship funds and main mandates invested in Euro Sovereign Fixed Income. He also participates in the UK and EU rates committee in charge of generating alpha in sovereign, derivative and inflation markets for implementation across applicable portfolios.

Alberto holds a Double MSc in Engineering from the École Centrale of Lyon (France, 2016) and Escuela Tecnica Superior de Ingenieria de Sevilla (Spain, 2016) and is CFA charterholder (2020).


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