Ramón Alfonso Mata
Analista Financiero, GAR Investment Managers
Experience as portfolio manager and equity analyst with over twenty years of experience.
Over the last ten years, has been able to obtain high returns on his equity portfolios, neatly beating the usual benchmarks. The approach to investment is through value and the selection of companies with sound and attractive fundamentals. I use and develop models that provide quant basis to perform effective screenings and identification of attractive investments with potential high returns.
I also give classes, lectures and in-company courses on portfolio management, equity analysis since 1995 in several universities and institutions in Spain.