Profil
Sven Bakker worked as a Portfolio Manager at AEGON Investment Management BV in 2008 and at Saemor Capital BV from 2008 to 2020.
Tidigare kända positioner av Sven Bakker
| Företag | Position | Slut |
|---|---|---|
Saemor Capital BV
Saemor Capital BV Investment ManagersFinance Saemor Capital Is a team-oriented, process-driven manager that aims to generate attractive consistent annual returns through their Europe Alpha long/short equity fund which primarily invests in liquid equities and equity-related securities in Europe. The Fund focuses on exploiting anomalies that can deliver attractive returns. The firm utilizes a multi-strategy approach and employs a number of largely uncorrelated alpha strategies. Their core strategy is based upon a proprietary dynamic multifactor stock selection model which ranks stocks in the European universe across quadrants of valuation, momentum, profitability & growth, and quality. | Chef för investeringar | 2020-02-01 |
AEGON Investment Management BV
AEGON Investment Management BV Investment ManagersFinance AEGON-IM is an active, long-term, fixed-income and asset allocation specialist manager which follows a value-oriented investment approach. Their investment philosophy emphasizes flexibility and pragmatism and they invest in large- to mega-cap equity, fixed-income and alternative investments in North America, Europe and Asia. The firm follows a research-driven process which blends top-down analysis with bottom-up stock picking. They seek to identify stocks that are undervalued relative to earnings, cash flow, or book value and share research with other asset management subsidiaries within the AEGON group, particularly in Great Britain, the US and Canada. Their in-house research combines fundamental and quantitative analysis with company visits and is supplemented by outsourced research. AEGON-IM manages risks by applying the "three lines of defense" model. The first line of defense consists of Portfolio Risk Control and Portfolio Risk Management. Finance, Compliance and Operational Risk Management departments are the second line of defense and the third line of defense consists of the independent Group Internal Audit, which periodically checks the first two lines of defense to determine whether activities are carried out according to previously agreed standards. | Portföljförvaltare-Aktier | 2008-09-01 |
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Kopplade företag
| Privata företag | 2 |
|---|---|
AEGON Investment Management BV
AEGON Investment Management BV Investment ManagersFinance AEGON-IM is an active, long-term, fixed-income and asset allocation specialist manager which follows a value-oriented investment approach. Their investment philosophy emphasizes flexibility and pragmatism and they invest in large- to mega-cap equity, fixed-income and alternative investments in North America, Europe and Asia. The firm follows a research-driven process which blends top-down analysis with bottom-up stock picking. They seek to identify stocks that are undervalued relative to earnings, cash flow, or book value and share research with other asset management subsidiaries within the AEGON group, particularly in Great Britain, the US and Canada. Their in-house research combines fundamental and quantitative analysis with company visits and is supplemented by outsourced research. AEGON-IM manages risks by applying the "three lines of defense" model. The first line of defense consists of Portfolio Risk Control and Portfolio Risk Management. Finance, Compliance and Operational Risk Management departments are the second line of defense and the third line of defense consists of the independent Group Internal Audit, which periodically checks the first two lines of defense to determine whether activities are carried out according to previously agreed standards. | Finance |
Saemor Capital BV
Saemor Capital BV Investment ManagersFinance Saemor Capital Is a team-oriented, process-driven manager that aims to generate attractive consistent annual returns through their Europe Alpha long/short equity fund which primarily invests in liquid equities and equity-related securities in Europe. The Fund focuses on exploiting anomalies that can deliver attractive returns. The firm utilizes a multi-strategy approach and employs a number of largely uncorrelated alpha strategies. Their core strategy is based upon a proprietary dynamic multifactor stock selection model which ranks stocks in the European universe across quadrants of valuation, momentum, profitability & growth, and quality. | Finance |
















