Roul Haerden

Head of Fixed Income & Alternative Credit - Manager Research Solutions at Van Lanschot Kempen Investment Management
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Contact Information
us****@****om
(386) 825-5501
Location
Zeist, Utrecht, Netherlands, NL

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Credentials

  • DSI - Senior Vermogensbeheerder
    DSI
    Jan, 2003
    - Nov, 2024

Experience

    • Netherlands
    • Investment Management
    • 100 - 200 Employee
    • Head of Fixed Income & Alternative Credit - Manager Research Solutions
      • Mar 2023 - Present

      -The Manager Research Solutions (MRS) team offers index and actively managed high quality commingled and bespoke multi-manager portfolios for institutions, family offices, foundations, and high net worth individuals. -Oversee external manager selection solutions together with a broader team for Fixed Income & Alternative Credit -Focus areas within fixed income: money markets, government bonds, corporate (IG &HY) bonds, leveraged loans, EMD, mortgages, structured credit, distressed debt, private debt. Show less

    • Investment Management
    • 200 - 300 Employee
    • Senior Portfolio Manager - External Management
      • Feb 2021 - Feb 2023

      Senior Portfolio Manager in External Management team of PGGM, responsible for the selection and monitoring of various Fixed Income asset classes. Areas of attention: Emerging Market Debt, Investment Grade, High Yield, project management, external manager due diligence, transition management, ESG, valuation, investment decision process, peer group analysis, operational activities, internal and external client facing contact. Senior Portfolio Manager in External Management team of PGGM, responsible for the selection and monitoring of various Fixed Income asset classes. Areas of attention: Emerging Market Debt, Investment Grade, High Yield, project management, external manager due diligence, transition management, ESG, valuation, investment decision process, peer group analysis, operational activities, internal and external client facing contact.

    • United Arab Emirates
    • Government Administration
    • 100 - 200 Employee
    • Portfolio Manager - Head of Fixed Income & Hedge Funds
      • Sep 2019 - Feb 2021

      Responsible for the portfolio construction and manager selection process of the fixed income and hedge fund allocation within the pension fund. Responsible for the portfolio construction and manager selection process of the fixed income and hedge fund allocation within the pension fund.

    • Netherlands
    • Investment Management
    • 100 - 200 Employee
    • Senior Portfolio Manager - External Manager Selection
      • Aug 2015 - Aug 2019

      Senior Portfolio Manager within the Multi Management Team (external manager selection) at Kempen Capital Management. The team is responsible for the selection and monitoring of the liquid managers within Kempen and the Van Lanschot Group. My area of focus: selecting external managers within the fixed income asset class (regional and global): government bonds, investment grade, high yield, bank loans, emerging market debt and mortgages. Senior Portfolio Manager within the Multi Management Team (external manager selection) at Kempen Capital Management. The team is responsible for the selection and monitoring of the liquid managers within Kempen and the Van Lanschot Group. My area of focus: selecting external managers within the fixed income asset class (regional and global): government bonds, investment grade, high yield, bank loans, emerging market debt and mortgages.

    • Investment Management
    • 200 - 300 Employee
    • Senior Portfolio Manager External Segregated Mandates
      • Apr 2013 - Jul 2015

      Senior Portfolio Manager within the External Segregated Mandates team at PGGM. This team is responsible for the selection and monitoring of all external mandates within PGGM. PGGM acquired Doctors Pension Fund Services in April 2013 including the full manager selection team. Areas of special interest / expertise: -Manager selection and monitoring for hedge funds (Global Macro, CTA, multistrategy fund of hedge funds), fixed income and listed real estate. -Portfolio construction of multi manager portfolios. -Co manage internally managed commodity exposure and a passive (EUR) government bond portfolio. Show less

  • Doctors Pension Fund
    • Utrecht Area, Netherlands
    • Senior Portfolio Manager Financial Markets
      • Aug 2007 - Mar 2013

      -Managing and monitoring external managers for Fixed Income and Hedge Fund portfolios (Global Macro, CTA, multistrategy Fund of Funds). -Portfolio construction and management for hedge funds and fixed income (including overlays). -Co managing an internally held commodity portfolio and passive government bond portfolio. -Managing and monitoring external managers for Fixed Income and Hedge Fund portfolios (Global Macro, CTA, multistrategy Fund of Funds). -Portfolio construction and management for hedge funds and fixed income (including overlays). -Co managing an internally held commodity portfolio and passive government bond portfolio.

  • Paats Nordbeck & Partners
    • Naarden, The Netherlands
    • Freelance consultant
      • Jan 2003 - Nov 2007

      Worked (ancillary activity) as a freelance consultant to advise organisations / works council on their pension plans and to visualize the financial impact of adjustments to their pension plan policies. Worked (ancillary activity) as a freelance consultant to advise organisations / works council on their pension plans and to visualize the financial impact of adjustments to their pension plan policies.

    • Netherlands
    • Financial Services
    • 700 & Above Employee
    • Senior Portfoliomanager at APG Asset Management
      • Aug 2000 - Aug 2007

      August 2000 - December 2003 Portfolio Analyst January 2004 - December 2006 Portfolio Manager Allocation January 2007 - August 2007 Senior Portfolio Manager Allocation August 2000 - December 2003 Portfolio Analyst January 2004 - December 2006 Portfolio Manager Allocation January 2007 - August 2007 Senior Portfolio Manager Allocation

Education

  • Vrije Universiteit Amsterdam (VU Amsterdam)
    MS, Postdoctorate study for Financial Analyst (VBA)
    2001 - 2003
  • Maastricht University
    -, Econometrics course
    2000 - 2001
  • Vrije Universiteit Amsterdam (VU Amsterdam)
    MA, Business science for the financial sector
    1996 - 2000

Community

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