Román González
Other
11 Years of experience
Focus on good companies trading at low multiples
Current firm: A&G
Professional background
He joined A&G in 2014 as a fund manager, and since then has participated in the development and implementation of quantitative models for portfolio construction and asset risk control. Previously, he has worked as a financial risk consultant at KPMG and Accenture.
Educational background
Graduated in Mathematics and Computer Science Engineer from the Autonomous University of Madrid. Master in Financial Risk Management from the Institute of Stock Exchanges and Markets. Expert in Big Data and Data Science .
DIP European Equities
With a quantitative strategy, they look for stocks with good performance in terms of profitability / risk
BenchmarkFTSE All-Share Index TR
ClassClass C
ISINLU1931527839
AUM28.000.000,00 €
Ongoing ChargesManagement Fee: 1.2%, Performance Fee: 10%
