2008 -2010 Senior Portfolio Manager European financials @
2007 -2007 Senior Portfolio Manager European financials @
2005 -2006 Senior Portfolio Manager Global Insurance @
2002 -2004 Portfolio Manager Global Financials @
2000 -2001 Portfolio Manager Pacific and Emerging Markets @
1999 -1999 Analyst External Managers Global Equities @
Jan Knoll Education
Rijksuniversiteit Groningen
MA (Economics)
1988-1998
CFA-institute
CFA
Jan Knoll Skills
Alternative Investments
Banking
Fixed Income
Corporate Finance
Valuation
Portfolio Management
Capital Markets
Derivatives
Investments
Bloomberg
Asset Allocation
Tactical Asset Allocation
Financial Services
Asset Managment
Equities
Equity Research
Investment Strategies
Emerging Markets
Asset Management
Pension Funds
Private Equity
Investment Banking
Trading
Hedge Funds
Financial Markets
Investment Management
Structured Products
Jan Knoll Summary
Jan Knoll, based in Netherlands, is currently a Portfolio Manager Financials and Credit Income at Robeco at Robeco. Jan Knoll brings experience from previous roles at ABN AMRO Bank N.V., atlas investment advisors and APG Asset Management. Jan Knoll holds a 1988 - 1998 MA in Economics @ Rijksuniversiteit Groningen. With a robust skill set that includes Alternative Investments, Banking, Fixed Income, Corporate Finance, Valuation and more. Jan Knoll has 3 emails and 2 mobile phone numbers on RocketReach.
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