Jacob Vijverberg

Jacob Vijverberg

Investment Manager, Multi-Asset Investing

Bio

Jacob Vijverberg joined the team in 2008. He is responsible for strategic asset allocation, macro-economic views and income strategies. He previously worked for ABN-AMRO Bank as a Quantitative Risk Analyst with a focus on risk modelling. Jacob has 14 years’ industry experience and holds an MSc in Experimental Physics from Utrecht University and is a CFA charterholder.

*As at 30 June 2020.