Profil
Mr. Vincent Juvyns is a Portfolio Manager at ING Investment Management Advisors BV.
Prior to assuming this position he worked as a fundamental analyst in ING IM’s asset allocation department, where he was responsible both for providing research input and communicating investment strategy.
He also worked in the financial sector in Brussels for a number of years before moving to ING in 2007.
Mr. Juvyns received a master’s degree in business and financial sciences from the Institut Catholique des Hautes Etudes Commerciales (ICHEC), which is also in Brussels and where he regularly appears as guest lecturer, In addition to his bachelor’s degree in marketing management from the Ecole Pratique des Hautes Etudes Commerciales in Brussels.
Anciens postes connus de Vincent Juvyns
| Sociétés | Poste | Fin |
|---|---|---|
Goldman Sachs Advisors BV
Goldman Sachs Advisors BV Investment ManagersFinance GSBV is an active investor which seeks to bring technical and analytical expertise in developing rigorous and superior solutions for clients and funds seeking more quantitative or model-driven solutions. The firm applies their proprietary research and analytics, global resources, portfolio diagnostics and risk management to the development of investment products and solutions in pursuit of their clients’ objectives. Top-down macro themes shape over-all strategy and provide the context for their bottom-up security selection. | Portfolio Manager-Fixed Income | 01/09/2013 |
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| Entreprise privées | 1 |
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Goldman Sachs Advisors BV
Goldman Sachs Advisors BV Investment ManagersFinance GSBV is an active investor which seeks to bring technical and analytical expertise in developing rigorous and superior solutions for clients and funds seeking more quantitative or model-driven solutions. The firm applies their proprietary research and analytics, global resources, portfolio diagnostics and risk management to the development of investment products and solutions in pursuit of their clients’ objectives. Top-down macro themes shape over-all strategy and provide the context for their bottom-up security selection. | Finance |
















