Profil
Mr. Michiel Plakman, CFA, is a Head of Global Equity at Robeco Institutional Asset Management BV.
He is also the Lead Portfolio Manager for the Sustainable Global Stars Equity strategy.
He is responsible for portfolio construction for fundamental global equities with a focus on SDG investing and on companies in the information technology and real estate sectors.
He has been in this role since 2009.
Previously, he was responsible for managing the Robeco IT Equities strategy.
Mr. Plakman was a Portfolio Manager Japan at Achmea Global Investors (PVF Pensioenen).
From 1995 to 1996 he was Portfolio Manager European Equities at KPN Pension Fund.
He holds a Master's in Econometrics from Vrije Universiteit Amsterdam and he is a CFA® charterholder
Aktiva positioner av Michiel Plakman
| Företag | Position | Start |
|---|---|---|
Robeco Institutional Asset Management BV
Robeco Institutional Asset Management BV Investment ManagersFinance RIAM is an active, research-oriented manager which believes that working in teams guarantees continuity in analysis and portfolio construction. The firm employs a research-based, quality-driven process to produce the best possible long-term results for their clients. They uniquely integrate fundamental, quantitative and sustainability research. Portfolio managers use the insights from all three, allowing them to make better-informed investment decisions. Risk management is essential, which is why they always believe in long-term, sustainable capital growth. | Chef-Ekonomiska Investeringar | 2020-11-01 |
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| Privata företag | 1 |
|---|---|
Robeco Institutional Asset Management BV
Robeco Institutional Asset Management BV Investment ManagersFinance RIAM is an active, research-oriented manager which believes that working in teams guarantees continuity in analysis and portfolio construction. The firm employs a research-based, quality-driven process to produce the best possible long-term results for their clients. They uniquely integrate fundamental, quantitative and sustainability research. Portfolio managers use the insights from all three, allowing them to make better-informed investment decisions. Risk management is essential, which is why they always believe in long-term, sustainable capital growth. | Finance |
















