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Jaime Nicolás

Madrid, Barcelona, and Valencia; initially began career on Wall Street, Manhattan, USA, as a stock market lecturer

Age: 60 (August 19, 1965)

Nationality: Spanish

Positions: Stock Market Lecturer, Analyst, Institutional Asset Management, Cross-Border Tax Structuring, Family Office & Private Equity Strategies


Languages: English, Spanish

Service Cities: Madrid, Barcelona, and Valencia; initially began career on Wall Street, Manhattan, USA, as a stock market lecturer

Education:

University of Barcelona — Master’s in Financial Analysis (Sep 1984 – Jun 1986)
Thesis: “The Impact of Interest Rate Liberalization in Spain on the Banking Industry”

Complutense University of Madrid— Bachelor’s in Economics (Sep 1980 – Jun 1984)
Specialization: Monetary and Banking Studies

Professional Skills:

University of Barcelona: Reuters Terminal (35 years of experience), Bloomberg Terminal, Python (basic applications), Advanced Excel Functions, SAS

Financial Models: DCF Valuation Model (adapted for Spanish SMEs), Credit Risk Rating Models, Stock Market Index Compilation Method

Industry Knowledge: History of Spanish Financial Regulation (1980s–present), ECB Monetary Policy Impact on Spain, Spanish Green Finance Policy, Pension Portfolio Optimization