Profil
Mr. Paul L.
van Gilder, CFA, is a Senior Investment Officer & Portfolio Manager at The Municipal Employees' Retirement System of Michigan.
He oversees MERS’ $3 billion global fixed income portfolio.
MERS’ fixed income strategy uses a dynamic sector allocation model in asset classes such as credit, rates, emerging debt, and cash.
He is also responsible for implementing the plan’s asset allocation strategy through the use of equity and fixed income ETF’s.
As a member of the Asset Allocation team, he also contributes in-depth asset class valuation analysis and macroeconomic research.
In addition, he participates in external manager selection and monitoring across the equity, fixed income, and alternative portfolios.
He is also a voting member of the MERS’ Portfolio Review Committee.
He received his undergraduate degree from Michigan State University.
Postes actifs de Paul van Gilder
| Sociétés | Poste | Début |
|---|---|---|
The Municipal Employees' Retirement System of Michigan
The Municipal Employees' Retirement System of Michigan Investment ManagersFinance MERS employs a prudent, long-term investment strategy that seeks to outperform its benchmarks and market averages and is designed to provide downside protection and upside market participation. The firm seeks to provide a completely diversified fund utilizing various management and style strategies that will generate reasonable growth and income while minimizing market volatility. They invest in global equities, global fixed income, real assets and other diversified strategies. | Analyst-Fixed Income | 01/06/2014 |
Formation de Paul van Gilder
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| Entreprise privées | 2 |
|---|---|
Michigan State University
Michigan State University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
The Municipal Employees' Retirement System of Michigan
The Municipal Employees' Retirement System of Michigan Investment ManagersFinance MERS employs a prudent, long-term investment strategy that seeks to outperform its benchmarks and market averages and is designed to provide downside protection and upside market participation. The firm seeks to provide a completely diversified fund utilizing various management and style strategies that will generate reasonable growth and income while minimizing market volatility. They invest in global equities, global fixed income, real assets and other diversified strategies. | Finance |
















