Joop Huij

Joop Huij

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Profil

Dr. Joop Huij is a Portfolio Manager at Robeco Institutional Asset Management BV.
He is responsible for the Factor Investing strategies which include the Value-, Momentum-, Quality- and Multi-Factor Equities strategies, the Factor Indexes, and the Bespoke Factor Solutions.
As a head of both teams he coordinates the portfolio management, factor index research and development of customized factor investing solutions.
He specializes in empirical asset pricing and investment strategies.
Mr. Huij started his career as a researcher in 2007.
Mr. Huij also holds a part-time position as Associate Professor (with tenure) of Finance at Rotterdam School of Management.
He has published in various academic journals including the Journal of Banking and Finance, Journal of Empirical Finance, Journal of Financial Markets, and Financial Analyst Journal.
He holds a PhD in Finance from Rotterdam School of Management and a Master’s degree in Informatics & Economics (cum laude) from Erasmus University Rotterdam.

Ehemalige bekannte Positionen von Joop Huij

UnternehmenPositionEnde
Analyst-Equity 01.12.2014
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