Danny Wemmenhove

Angestellt, Principal, FINAD AG

Zürich, Schweiz

Fähigkeiten und Kenntnisse

Portfolio Management
Equity
Equity trading
Derivatives trading
Quantitative Finance
Quantitative analysis
Real Estate Asset Management
Fund Management
Fund Manager Selection
Alternative Equity Strategies
Smart Beta
ESG
Private Equity
Infrastructure
Private Debt

Werdegang

Berufserfahrung von Danny Wemmenhove

  • Bis heute 1 Jahr und 6 Monate, seit Dez. 2022

    Principal

    FINAD AG

  • 2 Jahre und 5 Monate, Juli 2020 - Nov. 2022

    Senior Portfolio Manager

    F. van Lanschot Bankiers

  • 3 Jahre und 1 Monat, Juni 2017 - Juni 2020

    Senior Portfolio Manager

    Altis Investment Management AG

    - Portfolio Manager FoF für institutionele Kunden. Aktienspezialist für Nordamerika, Asian ex-Japan, ESG und Impact Investing, und daneben Commodities und REITs. - ESG-Spezialist mit Erfahrung im Bereich der ESG-Integration, ESG Daten, und in der Formulierung nachhaltiger Anlageziele - Portfolio Manager von Multi-Asset Portfolios für HNW-Kunden

  • 5 Monate, März 2016 - Juli 2016

    Portfolio Manager Alternative Equity Strategies

    PGGM NV

    Portfolio Manager of the Alternative Equity Strategies Global Funds (AuM € 18 bln) Due to emigration to Zürich, Switzerland, for the job opportunity of my wife, I had decided to resign early.

  • 5 Jahre und 3 Monate, Dez. 2010 - Feb. 2016

    Portfolio Manager and Trader Equities

    ACTIAM (former SNS Asset Management)

    - Lead portfolio manager of the ACTIAM Responsible Index Funds Equity, AuM € 2.9 billion - Portfolio manager of a European REITs Fund, AuM € 130 million - Trader for the entire Equity department, including equity, ETFs, derivatives, and FX trading - Support Sales&RSM in communication with clients or prospects - Research focus on factor/styles approach, smart beta, ESG, real estate (REITs), and quantitative equity strategies

  • 1 Jahr und 6 Monate, Juni 2009 - Nov. 2010

    Quantitative Financial Trainee

    SNS REAAL

    Trainee for the departments of Financial Markets, Securities, Asset Management and Risk Management at the SNS REAAL Group.

Ausbildung von Danny Wemmenhove

  • 2 Jahre und 3 Monate, Jan. 2007 - März 2009

    Financial Engineering and Management

    Universiteit Twente

    Financial Engineering & Management Courses: Math. Finance, Math. Methods, Financial Econometrics, Statistics, Investment Theory, Structured Products, Business Ethics, Risk Management, Financial Accounting, Micro economics

  • 1 Jahr und 1 Monat, Dez. 2005 - Dez. 2006

    Study Association 'Stress'

    Universiteit Twente

    Full time chairman of the board of the largest study association of the University of Twente.

  • 3 Jahre, Sep. 2002 - Aug. 2005

    Industrial Management and Engineering

    Universiteit Twente

    Courses in the range of Finance, Production & Logistics, Information Technology & Processes, Health Care

  • 1 Jahr, Sep. 2001 - Aug. 2002

    Mechanical Engineering

    Universiteit Twente

    Due to misallignment of expectations of the study, I decided to quit the study of the first year.

  • 6 Jahre, Sep. 1995 - Aug. 2001

    Atheneum

    Scholengemeenschap Stad en Esch

    Major subjects: Mathematics, Physics, Chemistry, Economics, English, German and Dutch

Sprachen

  • Niederländisch

    Muttersprache

  • Deutsch

    Fließend

  • Englisch

    Fließend

  • Spanisch

    Grundlagen

  • Französisch

    Gut

Interessen

Skiing and snowboarding
Travelling
Road cycling
Scuba diving
Motorcycles
Finance and Investments

21 Mio. XING Mitglieder, von A bis Z