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Global Multi Asset Solutions
Why Santander Asset Management for Global Multi Asset Solutions?
Global Multi Asset Solutions specialise in the provision of client investment solutions, including risk profiled portfolios, segregated mandates, guided architecture and bespoke institutional research and advice.
Our multi-award winning team is based across the globe (London, Madrid, Frankfurt, Lisbon and USA), and cater to a wide range of clients.
The Global Multi Asset Solutions centralized investment process is based around consistency, robustness, scalability and leveraging skills and specialisms within the team. It looks to break down the available sources of alpha within a portfolio and focus on these areas, one of which is asset allocation. The process also comprises asset class strategy, bottom-up selection and risk controls and management, all of which can generate alpha.
Tom Caddick joined Santander Asset Management in early 2011 and has overall departmental responsibility, heading a team of over 20 investment professionals across four locations. Tom has over 17 years’ fund management experience and was previously Head of Multi Manager and Fund Selection at LV=Asset Management. Before joining LV, Tom was a Fund Manager at F&C Asset Management. Tom holds a BA (Hons) degree in Accounting and Finance.
Manager Research & Selection
José María Martínez-Sanjuan has 17 years’ experience in financial markets. He joined Santander Asset Management in 2011, having previously worked for five years at Banif as Head of Fund Selection and Alternative Investments. Prior to Banif, José Maria worked at a number of financial institutions, including Barclays and Citibank, as Portfolio Manager of fixed income funds, quantitative strategies and multi manager portfolios. José Maria graduated in Economics from the Complutense University in Madrid and holds a Master in Financial Markets from ICADE. He also holds the Chartered Alternative Investment Analyst Certificate.
- 8 x Research Analysts
Toby Vaughan joined Santander Asset Management in January 2011 and is Head of Fund Management within the Global Multi Asset Solutions team. Before joining, Toby worked at LV=Asset Management as a Senior Multi Asset Portfolio Manager and previously at F&C Asset Management as a Director of Asset Allocation. Toby has 14 years’ experience in fund management, focusing on managing multi asset portfolios. He holds a BA (Hons) in Economics & Management Studies and is a CFA charterholder.
- 1 x Portfolio Manager
- 3 x Fund Managers
- 1 x Portfolio Strategist
- 4 x Portfolio Analyst
Cristina Rodriguez-Iza joined Santander Asset Management in 2000 as an Equity Fund Manager. Since then, she has performed different roles in the investment team including an Equity Fund Manager and a Multi Asset Fund Manager, taking responsibility for both direct and multi manager funds. Furthermore, she has participated in different projects at a corporate level, reporting directly to Santander Asset Management's Global CIO. She is currently Head of Investment Solutions in the Global Multi Asset Solutions team. Cristina started her career at the end of 1996 as a Macroeconomic Analyst in Gesbansander (asset manager) and Santander Investment (broker). She previously worked as an Equity Analyst in Argentaria / BBVA Gestión. She holds a Bachelor Degree in Economics from the Autonomous University of Madrid and is a CFA Charterholder.
- 2 x Investment Analysts
- 3 x Discretionary Manager