Profil
Mr. Paul van de Vaart, CFA, is Fund Manager of Real Estate Securities at Aviva Investors Global Services Ltd. He is responsible for the fund management of real estate securities portfolios.
Prior to joining Aviva Investors, Mr. van de Vaart worked for the real estate group of APG Investments, the Dutch pension fund for government employers and employees.
He joined the company in 1997 and was appointed Senior Portfolio Manager in 2002, managing European real estate securities fund and helping co-ordinate the global real estate allocation process.
He holds a Master of Science degree in Economics from the University of Maastricht and a Master’s in Real Estate from the Amsterdam School of Real Estate.
Mr. van de Vaart is also a CFA charter holder.
Anciens postes connus de Paul van de Vaart
| Sociétés | Poste | Fin |
|---|---|---|
Aviva Investors Global Services Ltd.
Aviva Investors Global Services Ltd. Investment ManagersFinance AIGSL is an active, research-oriented manager which invests in all major asset classes including equity, fixed-income, real estate and cash. They also have expertise in SRI and alternative investments. The firm manages equity funds and fixed-income funds, following long-only and hedged strategies. They specialize in UK-related markets and share research globally throughout Aviva divisions. AIGSL employs a bottom-up investment process based on fundamental financial analysis and valuation and informed by top-down macro-economic research. They select stock by focusing on favorable industry sectors and utilize a dividend discount model. Determinant criteria include return on assets, price-to-book ratio and a low historical price-to-earnings ratio. | Gestionnaire de Portefeuille-Actions | 21/06/2017 |
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| Entreprise privées | 1 |
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Aviva Investors Global Services Ltd.
Aviva Investors Global Services Ltd. Investment ManagersFinance AIGSL is an active, research-oriented manager which invests in all major asset classes including equity, fixed-income, real estate and cash. They also have expertise in SRI and alternative investments. The firm manages equity funds and fixed-income funds, following long-only and hedged strategies. They specialize in UK-related markets and share research globally throughout Aviva divisions. AIGSL employs a bottom-up investment process based on fundamental financial analysis and valuation and informed by top-down macro-economic research. They select stock by focusing on favorable industry sectors and utilize a dividend discount model. Determinant criteria include return on assets, price-to-book ratio and a low historical price-to-earnings ratio. | Finance |
















