Aegon Asset Management
Jacob Vijverberg CFA is an experienced multi-asset investor with a strong track record in generating alpha within multi-asset portfolios. Currently serving as Head of Asset Allocation and Portfolio Manager for Global Diversified Income at Aegon Asset Management since August 2008, Jacob successfully manages the Aegon Diversified Income strategy with over EUR 1 billion in assets under management, providing investors with peer-beating returns. Previously, Jacob held roles as Co-Portfolio Manager for the Kames Diversified Income Strategies and Senior Portfolio Manager focusing on strategic and tactical asset allocation. Prior to Aegon, Jacob worked at ABN AMRO as a Quantitative Risk Analyst, gaining expertise in market risk modeling and credit risk management. Jacob Vijverberg holds a CFA designation from the CFA Institute and a Master's degree in Physics from Utrecht University.
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Aegon Asset Management
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We are active global investors. In a complex world we think and act across traditional boundaries. We organize our teams globally by asset class, so bring the breadth and depth of our investment and research capabilities together for clients across the...