Arjen van der Meer
Gestionnaire de Portefeuille-Actions chez Optimix Vermogensbeheer NV
Profil
Mr. Arjen van der Meer, CFA, is a Senior Portfolio Manager at Optimix Vermogensbeheer NV.
As a fundamentally and top-down driven investor, he is jointly responsible for the Emerging Markets and the Global Thematic Strategies equity portfolios.
Mr. van der Meer was previously employed at ABP/APG, where he worked for fifteen years.
He has a lot of experience in managing global share mandates.
He graduated in financial business administration at Nyenrode University and is also CFA Charter holder.
Postes actifs de Arjen van der Meer
Sociétés | Poste | Début |
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Optimix Vermogensbeheer NV
Optimix Vermogensbeheer NV Investment ManagersFinance Optimix Vermogensbeheer NV (Optimix) is a Netherlands-based investment management firm which was founded in 1983 by Ruurt Hazewinkel and Frits Westerner. They are a subsidiary of Svenska Handelsbanken AB (STO: SHB-A) in Sweden. Headquartered in Amsterdam, the firm manages the Optimix funds for private individuals and institutions. | Gestionnaire de Portefeuille-Actions | - |
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Optimix Vermogensbeheer NV
Optimix Vermogensbeheer NV Investment ManagersFinance Optimix Vermogensbeheer NV (Optimix) is a Netherlands-based investment management firm which was founded in 1983 by Ruurt Hazewinkel and Frits Westerner. They are a subsidiary of Svenska Handelsbanken AB (STO: SHB-A) in Sweden. Headquartered in Amsterdam, the firm manages the Optimix funds for private individuals and institutions. | Finance |