Miguel is a Portfolio Manager in the Emerging Market Debt team. He joined the company in 2006, initially as an Investment Risk Analyst. Prior to this, Miguel worked as a Senior Risk Analyst for GE Capital for three years and as a Risk Analyst for Banco Santander for two years. He has obtained an MSc in Financial Analysis from Universidad Carlos III de Madrid and a BSc in Economics from Universidad de Lima. Miguel is a CFA charterholder.