Juan Pablo Montenegro

Economist and business administrator from the Universidad de los Andes. As a business administrator he shows great interest in the area of corporate finance and consulting. As an economist he has a greater focus in the areas of long-term macroeconomics, econometrics, and time series analysis. Regarding financial mathematics, he is passionate about topics related to risk quantification and coverage, investment portfolio management and modeling of financing mechanisms. He has served in college as a trainer for classes such as Capital Markets, Econometrics for Managers, and Market Research. He has experience in handling quantitative tools and statistical packages such as Stata, R, and Python.