Maria Giraldo, Managing Director, Investment Research Strategist
Maria Giraldo, CFA is an Investment Strategist in the Macroeconomic & Investment Research Group. She is a key author of some of the firm’s leading publications including The Core Conundrum, the quarterly Fixed Income Outlook, and the quarterly High Yield and Bank Loan Report. She has presented her research on key issues regarding financial services regulation and market liquidity to diverse audiences including senior policy makers at the Bank for International Settlements. Her responsibilities include identifying emerging trends across various sectors and analyzing their impact on investment opportunities. In this role, Ms. Giraldo also develops portfolio strategy recommendations and periodic sector outlooks for individual and institutional investors. Prior to joining Guggenheim, Ms. Giraldo was a Vice President at Bank of America Merrill Lynch, where she spent five years in the closed-end fund origination group within Global Wealth & Retirement Solutions. Ms. Giraldo earned a BBA in Finance & Investments from the City University of New York’s Baruch College.
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