Igor Piljic

Portfolio Manager Return Portfolio | Balance Sheet Management at Achmea

Igor Piljic has been serving as a Portfolio Manager for the Return Portfolio at Achmea since May 2011, focusing on strategy, oversight, and selection of managers across various asset classes including Alternatives, Real Estate, Equities, Emerging Markets Debt, and Senior Loans. Previously, Igor held a position in the Group Investment Office, engaging in overlay management and macroeconomic scenario writing while monitoring and selecting investment managers for Emerging Markets Debt and Senior Loans. Igor began a professional career as a Financial Management Trainee, completing a two-year program with diverse assignments in financial departments. Education includes multiple degrees from Tilburg University, culminating in an MSc in Investment Analysis, along with completion of all three levels of the CFA Program from the CFA Institute. Earlier work experience includes a role as a Flexwerker at ASA Student Uitzendbureau B.V.

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