Mark V. is an experienced finance professional with a strong background in portfolio management and equity strategy. Currently serving as a Senior Portfolio Manager at Achmea Investment Management since September 2018, Mark has previously held prominent roles at Robeco, APG Asset Management, PGGM Investments, Saemor Capital, and ABN AMRO. Mark's academic credentials include a Master's degree in Econometrics from Tilburg University and an RBA/CEFA degree in Financial Analysis from Vrije Universiteit Amsterdam. With over two decades of experience in the investment management field, Mark V. brings a wealth of expertise in factor investing and strategic portfolio management.
Sign up to view 0 direct reports
Get started