Profil
Dr. Wim van Hyfte is a Global Head of ESG Investments & Research at Candriam Belgium SA since 2016.
He is responsible for research on environmental, social and governance issues, the implications for and the integration into portfolio and risk management across assets.
Before, he was senior fund manager-quantitative analyst at Candriam conducting empirical research on asset pricing, the quantitative modeling of alpha/risk factors and portfolio optimization.
He co-managed over $3 billion in global ESG quant equity funds and segregated accounts for nearly 10 years.
He joined Candriam in 2006 after having worked in the academic world for over 8 years.
He holds a Ph.D.
in Financial Economics, an MBA in Finance and a Master’s degree in Applied Economics.
Postes actifs de Wim van Hyfte
| Sociétés | Poste | Début |
|---|---|---|
Candriam Belgium SA
Candriam Belgium SA Investment ManagersFinance Candriam Belgium is a long-term, multi-specialist global investment manager that aims to deliver superior investment returns, solutions and service to their clients. They strive to achieve this through a combination of expertise in several key areas, such as fixed income, equities, alternatives, and multi-asset strategies, while embedding ESG considerations into their investment process. The firm's investment philosophy is built on a disciplined process that combines fundamental analysis, ESG analysis and quantitative tools as appropriate. | Directeur de la Recherche - Actions | 01/01/2006 |
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| Entreprise privées | 1 |
|---|---|
Candriam Belgium SA
Candriam Belgium SA Investment ManagersFinance Candriam Belgium is a long-term, multi-specialist global investment manager that aims to deliver superior investment returns, solutions and service to their clients. They strive to achieve this through a combination of expertise in several key areas, such as fixed income, equities, alternatives, and multi-asset strategies, while embedding ESG considerations into their investment process. The firm's investment philosophy is built on a disciplined process that combines fundamental analysis, ESG analysis and quantitative tools as appropriate. | Finance |
















