Iván Martín, CFA

AAA
18 Years of experience

Professional background

Fund Manager, Santander AM SGIIC, Aviva Gestion SGIIC. Sabadell Gestion SGIIC.

Educational background

Degree in Business Admnistration and Master in Financial Analysis, Carlos III University of Madrid. Value Investing Studies, University of Nebraska (Omaha). CFA Charterholder. Associate Professor, Carlos III University (Madrid). Pompeu Fabra (Barcelona). Academic and Professional Excellence Award, Carlos III University of Madrid Board.

Performance

10.3%

Manager Annualised Return Since Inception

7.90%

Benchmark Annualised Return since Inception

Manager Performance

Manager

Benchmark

Dif.

Inception

10.3%
7.90%
2.4%

10Y

8.3%
6.10%
2.2%

5Y

9.2%
11.20%
-2.1%

Data as at 30 June 2021.

Risk Statement / Disclaimer: Data is collected by Vadevalor. Care has been taken to ensure that the information is accurate, but Vadevalor neither warrants nor guarantees the contents, nor does it accept any responsibility for errors, inaccuracies or omissions herein. Past performance does not necessarily indicate future returns and should not be the sole reason for making an investment decision. The value of investments and any income from them can fall as well as rise. This listing is for informational purposes only. You should not construe any of this material as investment, financial or other advice.

Magallanes European Equity
Value investing using fundamental analysis
Benchmark
IGBMT / MSCI EUROPE
Class
Class M
ISIN
ES0159259011
AUM
€ 632,000,000
Ongoing Charges
Management Fee: 1.25% (minimum investment of €1,000,000 or institutional investor or those under the age of 25).