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Faculty member

SÁNCHEZ VERDASCO
Javier SÁNCHEZ VERDASCO
PhD in Economics, Finance, Corporate Finance

Affiliate Professor
Finance
Campus : Madrid

Biography

Academic & Professional Qualifications:

  • Ph.D in Corporate Finance (Universidad Complutense de Madrid)
  • MSc  in Trade and International Economic Relations (UEM, Madrid)
  • MSc in Human Resources Management (CEF, Madrid)
  • BSc in Applied Economics (Universidad Complutense de Madrid)
  • Certificate in Advanced Corporate Finance (London School of Economics)
  • Certificate in Linear Regression Analysis (London School of Economics)
  • Certificate in International Economics (London School of Economics)
  • CIIA (Certified International Investment Analyst)
  • EFA (European Financial Advisor)

 

Professional Background : Incompagny (2000 to present) : Managing Director working in the field of financial training and consultancy. Between 1986 to 2000: Retail Banking Advisor and Equity Analyst in Banco Atlántico; Chief of Equity Analysis and Head of Asset Management in Corporación Financiera Caja Madrid; Deputy Managing Director of Mutual Funds in Banco Zaragozano. In Banco Santander:  Head of International Treasuries and Capital Markets Internal Audit, Derivatives Specialist for the treasury desk (hedging structures), Market Risk Manager (New York), and Structured Derivatives Controller.

 

Business Schools and Universities Professor: Associate professor with ESCP Europe, IEB, Lasalle IGS y AFundación Business School. Visiting professor at the Universidad Interamericana de Costa Rica, Universidad de las Américas del Ecuador, Universidad Peruana de Ciencias Aplicadas and Universidad del Valle de Méjico.

 

In Company training : McDonald´s, Total Fina, Altadis (Berlin), British Telecom, Foster Wheeler, Técnicas Reunidas, Repsol, Grupo Sener,  Orange, Atos-Origin, Prosegur and various financial institutions: Santander (Madrid, Mexico, London, Boston), BBVA (Madrid, London, Zurich), Banesto, Bankinter, Banc Sabadell, Caja Madrid, La Caixa, Ibercaja, Caixa de Cataluña, Kutxa de San Sebastián, Caixa Galicia, Caja Rural de Granada, Caja Rural de Toledo, Morgan Stanley, LLoyds Bank, Deutsche Bank, Fortis Bank, Banco Espírito Santo, Banco Gallego, Banco Madrid, Banco Urquijo, Fidelity,  Banca Mediolanum, Altae, Inversis, Multibank (Panamá), Mutuactivos, Reale, Aegón.

 

Published Articles and Books:  

 

Sánchez-Verdasco J. (2016). Stock Market Efficiency Under the Cost of Carry Model. Evidence from the IBEX 35. Journal of Insurance and Financial Management, Vol. 2, Issue 7 (2016) 18-33.

 

Sánchez-Verdasco, J., An Algebraic Model for Hedging Equity Index Portfolios with Stock Index Futures. Evidence from the IBEX 35 (2016). Available at SSRN: ssrn.com/abstract=2866119.

 

Sánchez-Verdasco J. (2005). El crédito a clientes: efectos en la financiación y en la rentabilidad (Credit for Clients: Impact on Financing and Profitability) Estrategia Financiera (214), 42-47.

 

Revelló de Toro J. M., Sánchez-Verdasco J.et al. (2013). Manual de Corporate Finance y Banca de Inversión (Corporate Finance and Investment Banking Handbook) Ed Delta (Co-author. Chapter 2).

 

Sánchez-Verdasco J. (2015) Cobertura de Carteras Índice de Renta Variable con Futuros sobre el Ibex 35 (Hedging Equity Stock Index Portfolios with Stock Index Futures on the Ibex 35). Tesis Doctoral. Universidad Complutense de Madrid.