MAURITS VAN JOOLINGEN

Maurits van Joolingen joined Ortec Finance in 2007, combining an internship with writing his master’s thesis on duration strategies for pension funds. Maurits has a background in Asset Liability Management working with a large number of international pension funds and asset owners alike, advising them on strategic investment policies, risk management applications, as well as investment governance models. Since 2020 Maurits took up the role of business development, account management and strategic partnerships for our Investment Performance solution. Maurits studied Economics at the VU University of Amsterdam and has a Master’s degree in Finance. In 2011, he obtained the Financial Risk Manager (FRM) qualification.

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May 27, 2021
This mini-conference provides valuable insights into asset allocation strategies including life cycle products, the use of derivatives in asset allocations and the perennial debate of active versus passive strategies