Master's degree (Mathematics Applied to Financial Instruments)
2010 - 2011
University of Nottingham
(Computer Science & Mathematics)
2007 - 2008
Universidad Autónoma de Madrid
BS + MS (Mathematics)
2003 - 2009
Universidad Autónoma de Madrid
BEng + MEng (Computer Science and Engineering)
2003 - 2009
Joaquín Almunia's Skills
Equity Valuation
SAS Base
Valuation
Matlab
Financial Modeling
Derivatives
Financial Risk
SAS
ADO.NET
Java
Joaquín Almunia's Summary
Joaquín Almunia, based in Baden, AG, CH, is currently a Senior Portfolio Manager Analyst - Structuring and Options Trading at Axpo Group, bringing experience from previous roles at Axpo Group, OMIClear - The Iberian Energy Clearing House and CEPSA. Joaquín Almunia holds a 2017 - 2019 Master of Big Data & Data Sciencie @ Universidad Autónoma de Madrid. With a robust skill set that includes Equity Valuation, SAS Base, Valuation, Matlab, Financial Modeling and more, Joaquín Almunia contributes valuable insights to the industry. Joaquín Almunia has 1 email on RocketReach.