Trained as an applied mathematician in the Philippines, he pursued postgraduate studies in France, Germany, and Spain. After three master degrees in Economics and Finance, he proceeded with his doctorate education at Universitat Pompeu Fabra (Barcelona, Spain). During his PhD, he was given the opportunity to be a Visiting Scholar at Columbia Business School (New York, USA) in 2015 and a Summer Researcher at the Banco de México (Mexico City, Mexico) in 2016, where he investigated how the US financial crisis was transmitted to the Mexican stock market. In 2017, he became an Assistant Professor of Finance at CUNEF, where he continues to study various themes in Finance, placing more emphasis on the effect of information on financial markets.
PhD in Economics, Finance, and Management (Cum laude, 2018), Universitat Pompeu Fabra (2018).
Master of Research in Finance y Master of Science in Finance , Universitat Pompeu Fabra (2012 y 2011), Master Wirtschaftsmathematik ,Universität Bielefeld (2010), and Master Mathématiques Appliquées à l’Economie et à la Finance por Université Paris I Panthéon-Sorbonne (2010).
Bachelor of Science in Applied Mathematics, Ateneo de Manila University (2008).
Financial Economics, Asset Pricing, Financial Intermediation
Teaching Assistant, Universitat Pompeu Fabra, September 2011 – June 2017.