Robert-Jan van der Mark

Robert-Jan van der Mark

Investment Manager, Multi-Asset Investing

Bio

Robert-Jan van der Mark, CFA, is head of systematic investment strategies and a portfolio manager in the multi-asset group. He manages the alternative risk premia strategy and the commodities strategy. Additionally, he is head of the quantitative analysts for multi-asset & solutions and in this role is responsible for the development and maintenance of all proprietary investment models and tooling within the multi-asset & solutions domain. Prior to his current role, he was a quantitative analyst at the firm, after completing an internship in the quantitative department. Robert-Jan joined the industry and the firm in 2006. He became a portfolio manager in 2009 and head of systematic strategies in 2021. He holds an MSc in econometrics and management from Erasmus University Rotterdam and is a CFA charterholder.