g
geraledesma

Gerardo L

@geraledesma

Financial Analyst and Investment Strategist, AI Assisted, CFA Level II

Mexiko
Spanisch, Englisch
Einige Informationen werden in englischer Sprache angezeigt.
Über mich
10+ yrs at MSCI & S&P DJI building investment products for Goldman Sachs, JPMorgan, and Morgan Stanley. CFA Level II candidate (Nov 2026). What I deliver: -Equity valuation: DCF, DDM, comps, residual income, private company (DLOC/DLOM) -Fixed income & credit: OAS, CVA, duration, DV01, credit spread analysis -FSA: earnings quality, Beneish M-score, consolidation, FX translation -M&A modeling: WACC, comp txn, EPS accretion, pro forma Real tools: BarraOne & RiskManager (Franklin Templeton, Invesco, GM pension). AI-assisted delivery - institutional rigor, fraction of the time. EN/ES.... Mehr lesen

Kompetenzen

g
geraledesma
Gerardo L
offline • 
Durchschnittliche Antwortzeit: 1 Stunde

Meine Dienstleistungen

Aktienanalyse
I will build a dcf and comparable company analysis for your target stock

Arbeitserfahrung

Monterrey_Technology

University Lecturer in Economics

Monterrey Technology

Jan 2023 - Dec 20252 yrs 11 mos

*Tec de Monterrey (ITESM) • Designed and delivered applied Modern Portfolio Theory curriculum across 4 semesters (2023–2025), reaching 24–29 students per cohort and incorporating Bloomberg and FactSet for portfolio analytics and factor data; prepared candidates for the AMIB Figura 1 investment advisor certification.

Morgan_Stanley

Index Research & Development Senior Associate

Morgan Stanley • Vollzeit

Jan 2022 - Nov 20253 yrs 10 mos

*MSCI • Drove index design and owned the full product development lifecycle for 100+ multi-asset index strategies (factor, ESG, climate, structured, derivatives-linked, options overlay, and insurance-linked): client discovery, go-to-market strategy execution, client adoption, product feasibility assessment, methodology design, Index Committee governance, and end-of-life; indices served as underlyings for structured annuities, autocallables, ETNs, and ETPs issued by Goldman Sachs, JPMorgan, and Morgan Stanley across U.S., LatAm, and EMEA. • Engineered a modular pre-publication data-quality gate for 1,000+ equity indices that caught construction errors before public dissemination, coordinating IT deployment and applying AI-assisted development (Cursor) to define and deploy validation rules; outputs reported to the Equity Index Committee. • Led design and implementation of a Jira-based production workflow for a 15+ person cross-border team processing 40+ client simulation requests per week, replacing Excel tracking, eliminating daily status calls, and delivering real-time pipeline visibility. • Delivered 900+ institutional investment mandates on time through quarterly rebalancing cycles, ensuring methodology compliance, investability standards, and risk-return integrity; presented at institutional thought leadership roadshows, produced client-facing pitch decks, and contributed research and analytical content to MSCI institutional publications (white papers and blog posts) on index methodology across Mexico, Colombia, Chile, and Peru.

S&P_Global

Index Manager

S&P Global • Vollzeit

Aug 2020 - Jan 20221 yr 5 mos

*S&P Dow Jones Indices • Led governance and served on the index committees for Chile's S&P/CLX IPSA, Argentina's S&P/BYMA MERVAL, and Peru's S&P/BVL Peru General, overseeing quarterly rebalancing, composition decisions, and methodology compliance across $180B+ in LatAm equity market capitalization, in direct coordination with the Santiago Stock Exchange, BYMA, and BVL. • Executed corporate actions, reconstitutions, and ongoing maintenance for 100+ global equity index portfolios, sustaining on-time delivery with a consistent error-free record across every rebalancing cycle. • Developed Python-based rebalancing automation and risk monitoring tools, cutting per-cycle rebalancing time from 1+ business day to minutes across 100+ global equity index portfolios.