• MN

Robin Bul

Senior Financial Risk Manager - Return Portfolio

Robin Bul is an experienced financial risk manager with a robust background in investment and market risk management. Currently serving as a Senior Financial Risk Manager at MN since May 2009, Robin leads financial risk management for pension fund clients' return portfolios, overseeing investments in hedge funds, private equity, infrastructure, and commodities. Previous roles include Investment Risk Manager at MN, where the focus was on managing risks across various investment classes, and Business Analyst at Lukoil Benelux, where a portfolio hedging framework was created for gasoil trading. Earlier experience includes positions at NIBC Petercam Derivatives and Rabo Securities, specializing in market risk management for exotic equity derivatives, as well as a role at Bank Nederlandse Gemeenten combining risk management and quantitative research. Robin holds a degree from Erasmus University Rotterdam, completed in 2000.

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