Profil
Jeroen Christoffel de Bruijn is currently an Executive Director at Goldman Sachs Asset Management BV.
Prior to his current position, he worked as a Fund Manager at Delta Lloyd Asset Management NV from 2011 to 2017.
Postes actifs de Jeroen Christoffel de Bruijn
| Sociétés | Poste | Début |
|---|---|---|
Goldman Sachs Asset Management BV
Goldman Sachs Asset Management BV Investment ManagersFinance GSAM BV is an active, risk aware manager which conducts original in-house research and utilizes ESG overlays across their entire range, aiming to achieve attractive investment returns. Responsibly manages clients’ assets through actively managed income-driven products and advice-embedded solutions, creating value for all their stakeholders and the society in which the firm operates. GSAM BV provides a wide range of products and solutions across asset classes, geographies and styles. Their business is focused around four key asset classes: fixed-income, equity, real assets and multi-asset capabilities. | Gestionnaire de Portefeuille-Actions | 01/01/2018 |
Anciens postes connus de Jeroen Christoffel de Bruijn
| Sociétés | Poste | Fin |
|---|---|---|
Delta Lloyd Asset Management NV
Delta Lloyd Asset Management NV Investment ManagersFinance DLAM is an active, value-oriented manager which invests in global debt and equity across market-caps. They share research with other Delta Lloyd subsidiaries and make investment decisions based on asset allocation and a quantitative approach, focusing on fundamental macroeconomic, geographic and capital market factors. The firm utilizes a bottom-up approach to construct concentrated fixed-income portfolios, aiming to in invest in undervalued companies with a good profit expectation, good management and high dividends. They analyze companies' business activities and management, managing risk by investing in companies across industries that they know well, primarily in The Netherlands, Europe and Asia. DLAM is a risk-averse, benchmark agnostic, fixed-income investor which utilizes bottom-up and top-down research to construct diversified portfolios, weighing risk and return and analyzing factors such as debtors, duration, inflation, country allocation, currency and yield curve. All fixed-income investments are managed by the same team of specialists responsible for the investment. | Gestionnaire de Portefeuille-Actions | 01/06/2017 |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 2 |
|---|---|
Delta Lloyd Asset Management NV
Delta Lloyd Asset Management NV Investment ManagersFinance DLAM is an active, value-oriented manager which invests in global debt and equity across market-caps. They share research with other Delta Lloyd subsidiaries and make investment decisions based on asset allocation and a quantitative approach, focusing on fundamental macroeconomic, geographic and capital market factors. The firm utilizes a bottom-up approach to construct concentrated fixed-income portfolios, aiming to in invest in undervalued companies with a good profit expectation, good management and high dividends. They analyze companies' business activities and management, managing risk by investing in companies across industries that they know well, primarily in The Netherlands, Europe and Asia. DLAM is a risk-averse, benchmark agnostic, fixed-income investor which utilizes bottom-up and top-down research to construct diversified portfolios, weighing risk and return and analyzing factors such as debtors, duration, inflation, country allocation, currency and yield curve. All fixed-income investments are managed by the same team of specialists responsible for the investment. | Finance |
Goldman Sachs Asset Management BV
Goldman Sachs Asset Management BV Investment ManagersFinance GSAM BV is an active, risk aware manager which conducts original in-house research and utilizes ESG overlays across their entire range, aiming to achieve attractive investment returns. Responsibly manages clients’ assets through actively managed income-driven products and advice-embedded solutions, creating value for all their stakeholders and the society in which the firm operates. GSAM BV provides a wide range of products and solutions across asset classes, geographies and styles. Their business is focused around four key asset classes: fixed-income, equity, real assets and multi-asset capabilities. | Finance |
















