
David Ardura
David Ardura is a co-director of investments at Finaccess Value, known for his insights on market volatility and economic predictions, especially during tumultuous political periods like those experienced under Donald Trump's presidency.
Not in the pool (under ¢1).
Recent news mentions
David Ardura justified the rise in Spain's risk premium due to instability in the Middle East.
El mercado quita hierro a la amenaza de Trump a España: “Está por ver qué hace” | EconomíaDavid Ardura, investment director at Finaccess Value, discusses the current populist movements in Europe and their impact on the euro.
Las primas de riesgo europeas entierran la crisis de deuda 16 años después | EconomíaDavid Ardura, director of investments at Finaccess Value, explains the impact of Trump's policies on the US economy and Europe.
Los bonos soberanos europeos se convierten en refugio ante el pinchazo del imperio del dólar | Mercados FinancierosDavid Ardura, co-director of investments at Finaccess Value, reflects on the volatility and unpredictability of the market since Trump's election.
Mercados a salto de mata: qué indicadores seguir cuando todo es impredecible | Mercados Financieros














