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Latin American Equity

Why Santander Asset Management for Latin American Equity?

Our strength and our large local resource sets us apart from the competition. Our analysts and country coordinators focus on meeting and researching companies to ensure we uncover the most compelling stocks, in particular small and mid-cap, as these companies are those that the rest of the market is not looking at. We believe this is one of our key strengths.

Investment Process

Our Latin American Equity investment approach is anchored on proprietary fundamental local analysis of companies. This, together with stock selection, which focuses on profitable companies with low valuations and high returns, is done at a local level where we have on-the-ground presence while portfolio construction is carried out by our fund managers based in London. 

The four cornerstones of the investment process can be illustrated as follows:

Institutional Booklet Santander AM Latin American Equity Opportunities Fund Q4 2017 (PDF 3389 KB)

The Team

José Cuervo, Head of Latam Equities
José Cuervo

Jose Cuervo, Director global de Renta Variable latinoamericana, se incorporó a Santander Asset Management en julio de 2011 y es responsable de todas las inversiones regionales de renta variable latinoamericana de la entidad. Comenzó su andadura profesional en el año 1996 como analista de renta variable norteamericana en Philips, Hager & North Investment Management Ltd., en Vancouver. En 1998 se incorporó a HSBC Global Asset Management, donde comenzó a centrarse en mercados emergentes, ocupando cargos en Londres y Mascate (Omán). En 1999 se especializó en renta variable de Latinoamérica, primero en Nueva York como analista de renta variable y posteriormente trasladándose a Londres, en 2002, para ejercer como gestor de cartera de renta variable emergente de distintos productos, incluidos MEG, BRIC, Brasil y Latinoamérica. José tiene el título de Analista Financiero Internacional (CFA) y es licenciado en Comercio (especialidad en finanzas y gestión de carteras) por la Universidad British Columbia de Canadá.

  • 4 x London: Portfolio Managers & Analyst
  • 17 x Brazil: Portfolio Managers, Analysts , Economists & Country Coordinator
  • 7 x México: Portfolio Managers, Analysts, Economists & Country Coordinator
  • 9 x Chile: Portfolio Managers, Analyst, Economists & Country Coordinator
  • 2 x Argentina: Portfolio Manager & Analyst