Profil
Jelle Beenen is currently head of Alternative Beta at PGGM Investments.
Alternative Beta covers PGGM’s strategic investments that cannot be implemented by replicating market indices.
It comprises Hedge Funds, Private Equity, Long Term Fundamental Investments and Strategic Absolute Return Strategies (“Portfolio of Strategies”).
Jelle was one of the initiators of PGGM’s Portfolio of Strategies in 2004.
After he joined PGGM in 2000 Jelle has built PGGM’s Commodities investments and started its Quantitative Strategies group.
He was responsible for PGGM’s Commodities investments from June 2000 to March 2006.
Prior to joining PGGM in 2000 he held positions as Quantitative Researcher responsible for modeling exotic derivatives at ABN AMRO Bank and Rabobank International.
Before moving to the financial industry in 1997 Jelle Beenen worked as a mathematical physicist at Imperial College in London.
He obtained MSc degrees in Physics and Mathematics at Twente University (the Netherlands) and holds a PhD degree in Mathematical Physics from Imperial College London.
The subject of his PhD thesis was the theory of high temperature superconductivity.
Anciens postes connus de Jelle Beenen
| Sociétés | Poste | Fin |
|---|---|---|
PGGM Vermogensbeheer BV
PGGM Vermogensbeheer BV Investment ManagersFinance PGGM favors equity investments in North American and Europe and in sectors including financial services, raw materials, services and information technology. Their fixed-income portfolios primarily focus on European government bonds, but they also invest in US bonds and investment-grade credits. Their investment process begins with asset allocation and risk budgeting using VAR and RVAR. They then allocate markets, determine the investment style and select either an internal or an external manager. As a socially responsible investor, the firm pays close attention to the corporate governance practices of the companies in which they invest and exercises their shareholder rights by voting at their general meetings. | Head-Equity Investments | 29/02/2008 |
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| Entreprise privées | 1 |
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PGGM Vermogensbeheer BV
PGGM Vermogensbeheer BV Investment ManagersFinance PGGM favors equity investments in North American and Europe and in sectors including financial services, raw materials, services and information technology. Their fixed-income portfolios primarily focus on European government bonds, but they also invest in US bonds and investment-grade credits. Their investment process begins with asset allocation and risk budgeting using VAR and RVAR. They then allocate markets, determine the investment style and select either an internal or an external manager. As a socially responsible investor, the firm pays close attention to the corporate governance practices of the companies in which they invest and exercises their shareholder rights by voting at their general meetings. | Finance |
















