
David is an economist in the International Economics and Markets Department. He holds a degree in Economics from the University of Castilla-La Mancha and a Master's degree in Economics and Finance from the Centre for Monetary and Financial Studies (CEMFI). Before joining CaixaBank, he worked as an economist at the European Commission, the Bank of Spain, BBVA and Analistas Financieros Internacionales (Afi). His main area of study is macroeconomics, with an emphasis on long-term growth factors, international trade and structural transformations in the global economy.
Podcasts

Perspectivas 2026 y el desafío de la deuda pública
1 Dec 2025

Más allá de los aranceles: previsiones ajustadas, expansión inmobiliaria y resiliencia exportadora
19 Jun 2025

La política comercial de Trump (todo lo que siempre quisiste saber sobre los aranceles y nunca te atreviste a preguntar)
24 Feb 2025
Articles

Perspectivas 2026 y el desafío de la deuda pública
1 Dec 2025

Europe’s medium-term fiscal dilemma
14 Nov 2025

Firm size and productivity gaps in the EU
9 Oct 2025

European tourism in the post-pandemic era: uneven recovery and new challenges
9 Oct 2025

The effects of ageing on growth and policy tools to mitigate them
18 Sep 2025

The 2028-2034 EU budget: An impossible mission?
16 Sep 2025

5% of GDP on defence: Why? What for? Is it feasible?
16 Sep 2025

Import dependencies and competitive emergencies for Europe’s industry
3 Jul 2025

Tariff tensions and reconfiguration of trade flows: impact on Spain
1 Jul 2025