Pim van Vliet has a diverse work experience in the finance and academia sectors. Pim began their career at RSM Erasmus University in 2000 as a PhD candidate, focusing on downside risk and empirical asset pricing. Pim continued their academic pursuits at Erasmus School of Economics from 2006 to 2009, working as a lecturer.
In 2005, Pim joined Robeco where they held various roles. As the Head of Conservative Equities and Chief Quant Strategist, they managed a portfolio of global, sustainable, European, US, emerging, and Chinese funds. Since 2006, Pim's funds have been investing in stable stocks with attractive upside potential based on their award-winning research. Pim was also responsible for asset allocation research and played a key role in developing return enhancing strategies and risk-budgeting tools.
Overall, Pim van Vliet has a strong background in quantitative finance, particularly in the areas of asset allocation, strategy development, and portfolio management.
Pim van Vliet's education history includes several degrees and programs. In 1997, they attended Hofstra University, where they pursued a Bachelor's degree in Corporate Finance. Following this, in the same year, they enrolled at Erasmus University Rotterdam, where they completed a first-year degree (Propaedeuse) in History. Pim continued their education at the University of Gothenburg in 1998, focusing on Marketing & Organisation and obtaining a Bachelor's degree. From 1995 to 2000, they attended Erasmus University Rotterdam again, this time earning a Master's degree in Financial Economics. Later, from 2000 to 2004, they pursued a Ph.D. degree in Empirical Asset Pricing at Rotterdam School of Management, Erasmus University. In 2021, they completed a program in High Performance Leadership at IMD.
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