Gustavo Orozco has broad experience in selecting and investing in the best asset class according to the investor risk profile. He was involved in different portfolio definitions, constructions, and allocations to particular asset management strategies.
Gustavo led the risk management consultancy services to foreign direct investment to the Catalonia region for eight years. He previously worked in Citi bank corporate treasury and global investment services for almost five years.
He recently finished an Advanced Master’s Degree in financial markets at Solvay Business School in Brussels. That education endowed him with the capabilities and skills to make connections between markets and investors in order to elaborate sophisticated financial investment techniques.
Gustavo has multicultural professional experience that allows him to integrate different approaches at work. He has spent more than twenty years working in teams in Europe and South America.