Enrique Sanz Muñoz

Fund Advisor at Asesores y Gestores Financieros Fondos

Enrique Sanz Muñoz

Enrique Sanz Muñoz

Fund Advisor at Asesores y Gestores Financieros Fondos

Overview
Career Highlights

Bankia Banca Privada Gestión SGIIC SA
Bancaja Fondos SGIIC SA
Valtisa SICAV SA

RelSci Relationships

261

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Fund Advisor at BNP Paribas Gestión de Inversiones SGIIC SA

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Fund Advisor at BNP Paribas Gestión de Inversiones SGIIC SA

Relationship likelihood: Strong

Chairman at Asesores y Gestores Financieros Fondos

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Fund Advisor at BNP Paribas Gestión de Inversiones SGIIC SA

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Chairman & Chief Executive Officer at Egeria Activos SGIIC SA

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Head of Fund Selection at Asesores y Gestores Financieros Fondos

Relationship likelihood: Strong

Portfolio Manager at Asesores y Gestores Financieros Fondos

Relationship likelihood: Strong

Portfolio Manager at Asesores y Gestores Financieros Fondos

Relationship likelihood: Strong

Portfolio Manager at Asesores y Gestores Financieros Fondos

Relationship likelihood: Strong

Portfolio Manager at Asesores y Gestores Financieros Fondos

Relationship likelihood: Strong

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Enrique Sanz Muñoz
Fund Advisor at Asesores y Gestores Financieros Fondos
Career History
Fund Advisor
Current

A&G is an active manager focused on capital preservation. The firm invests both directly in equity, fixed-income and Forex, as well as through third-party funds. Their investment model is based on independence in decision making, risk management and an open architecture.A&G assesses market exposure weekly, quantitatively combining a range of factors including valuation indicators, technical indicators, inter-market indicators, market sentiment and external models.

General Manager & Chief Investment Officer
2011 - 2013

Bankia Banca Privada Gestión is an active manager which utilizes traditional and multi-manager approaches, based on fundamental analysis of economic data and controlled through quantitative methods, respectively, to offer customers a range of customized products and services.The firm's product offerings include Sicav, fund portfolios, stock portfolios, pension funds, private equity and venture capital.

Fund Manager
2004 - 2006

Gestifondo is an active, risk-aware manager. The firm's mixed fixed-income fund invests in public and private fixed-income, principally from Euro zone countries. The equity portion of the portfolio is constructed following a top-down and bottom-up approach. The firm seeks companies with good prospects for growth, selecting equities based on fundamental research. They benchmark the fund against the MSCI World IndexGestifondo's global fund selects equities following both bottom-up and top-down approaches, seeking undervalued equities in growing companies. The reference index is the MSCI World Index. The fund is invested in Spanish and international fixed-income.

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