Marco Kemper is a seasoned finance professional with extensive expertise in risk management and alternative fixed income. Currently serving as Senior Risk Manager for Alternative Fixed Income at Aegon Asset Management since February 2022, Marco has previously held roles such as Risk Manager at NatWest Markets and Project Controller at PwC Nederland. With a career spanning over a decade, Marco has worked at prominent institutions including Deutsche Bank, Rabobank, and Flagstone Reinsurance Holdings, where responsibilities included analyzing banking regulations, developing risk management models, and overseeing investment strategies. Marco holds multiple professional designations including CAIA, FRM, and CFA, and has an academic background in Econometrics from the University of Groningen, complemented by executive education at INSEAD and Nyenrode Business University.
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