Profil
Mr. Maarten Polfliet is a Portfolio Manager & Director at Robeco Institutional Asset Management BV.
He focuses on managing the wide range of regional and global Conservative Equities strategies, Robeco’s Low-volatility strategy.
Maarten specializes in portfolio construction and investment style analyses.
Until 2014, Maarten was a Quant Client Portfolio Manager at Robeco.
Mr. Polfliet previously worked as an Equity Portfolio Manager at Bank Insinger de Beaufort.
He started his career as a Portfolio Manager for private and institutional clients at SNS Bank Nederland in 1999.
He has a Master’s in Financial Economics from Tilburg University and a Master’s in Financial Analysis from the University of Amsterdam.
Aktive Positionen von Maarten Polfliet
| Unternehmen | Position | Beginn |
|---|---|---|
Robeco Institutional Asset Management BV
Robeco Institutional Asset Management BV Investment ManagersFinance RIAM is an active, research-oriented manager which believes that working in teams guarantees continuity in analysis and portfolio construction. The firm employs a research-based, quality-driven process to produce the best possible long-term results for their clients. They uniquely integrate fundamental, quantitative and sustainability research. Portfolio managers use the insights from all three, allowing them to make better-informed investment decisions. Risk management is essential, which is why they always believe in long-term, sustainable capital growth. | Portfolio Manager-Aktien | 01.01.2008 |
Erfahrungen
Besetzte Positionen
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Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
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Unternehmen ersten Grades
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Unternehmensverbindungen
| Private Unternehmen | 1 |
|---|---|
Robeco Institutional Asset Management BV
Robeco Institutional Asset Management BV Investment ManagersFinance RIAM is an active, research-oriented manager which believes that working in teams guarantees continuity in analysis and portfolio construction. The firm employs a research-based, quality-driven process to produce the best possible long-term results for their clients. They uniquely integrate fundamental, quantitative and sustainability research. Portfolio managers use the insights from all three, allowing them to make better-informed investment decisions. Risk management is essential, which is why they always believe in long-term, sustainable capital growth. | Finance |
















