Profilo
Mr. Ernesto Sanichar is a Senior Portfolio Manager at Robeco Institutional Asset Management BV, with a focus on pension fund mandates.
His asset specialties are fixed income and FX.
He has been part of Robeco's Investment Solutions department since 2005.
Previously, he was Treasury Manager for four years.
He started his career in the investment industry in 1998.
Prior to joining Robeco in 2001, Mr. Sanichar worked at ING Barings as a Product controller at the cash equities and derivatives desk for three years.
Mr. Sanichar holds a Master's in Financial Economics from Erasmus University Rotterdam.
Posizioni attive di Ernesto Sanichar
| Società | Posizione | Inizio |
|---|---|---|
Robeco Institutional Asset Management BV
Robeco Institutional Asset Management BV Investment ManagersFinance RIAM is an active, research-oriented manager which believes that working in teams guarantees continuity in analysis and portfolio construction. The firm employs a research-based, quality-driven process to produce the best possible long-term results for their clients. They uniquely integrate fundamental, quantitative and sustainability research. Portfolio managers use the insights from all three, allowing them to make better-informed investment decisions. Risk management is essential, which is why they always believe in long-term, sustainable capital growth. | Gestore di Portafoglio-Azioni | 01/12/2005 |
Esperienze
Posizioni ricoperte
Attive
Inattive
Società nel listino
Aziende private
Relazioni
Relazioni di 1° grado
Aziende connesse in 1º grado
Uomo
Donna
Amministratori
Dirigenti
Società collegate
| Aziende private | 1 |
|---|---|
Robeco Institutional Asset Management BV
Robeco Institutional Asset Management BV Investment ManagersFinance RIAM is an active, research-oriented manager which believes that working in teams guarantees continuity in analysis and portfolio construction. The firm employs a research-based, quality-driven process to produce the best possible long-term results for their clients. They uniquely integrate fundamental, quantitative and sustainability research. Portfolio managers use the insights from all three, allowing them to make better-informed investment decisions. Risk management is essential, which is why they always believe in long-term, sustainable capital growth. | Finance |
















