Since 2012 he is at the helm of the Economic Research Team of Bancolombia Group. He holds a Master’s degree in Financial Economics at Oxford University and an undergraduate degree Finance and International Relations from Universidad Externado de Colombia.
Mr. Espinosa has over 15 years of professional experience. Joined Bancolombia Group in 2003, acting in several positions such as Market Risk Manager, Investment Strategy Manager, and Asset Management Portfolio Director. He served in the public sector as team member in the External Capital Markets and Debt Management Directorate of the Ministry of Finance Public Credit. Acted also as a consultant of World Bank Liabilities and Assets Management Project for Bogotá.
Mr. Espinosa is also a university professor of portfolio management, derivatives, financial economics and market capital, among other courses.