A graduate in Business Administration from Madrid’s Autónoma University (UAM), David also holds a Masters in Quantitative Finance from Afi, Escuela de Finanzas. David is a partner of Afi and the Managing Director of Afi Inversiones Globales, SGIIC, the group company specialised in portfolio management and the provision of financial advice to institutional investors, mutual funds and pension funds. He boasts over 20 years’ professional experience.
He has co-written a dozen books on the financial markets and economy and around 100 articles addressing monetary policy, financial markets, mutual funds, portfolio management and corporate finance.
He lectures at the most prestigious Spanish post-graduate finance schools (such as Afi Escuela de Finanzas) and collaborates regularly with the media.