Dimitri Chatzoudis
Analyst-Equity at Robeco Institutional Asset Management BV
Profile
Mr. Dimitri Chatzoudis is a Senior Portfolio Manager at Robeco Institutional Asset Management BV.
He is a member of the Emerging Markets Equities team since June 2008.
He is responsible for the team's investments in Central Europe and South Africa.
Mr. Chatzoudis started his career at ABN AMRO in 1993 as a buy side analyst, responsible for the IT sector.
He transitioned to the Emerging Markets team at ABN AMRO in 2000, where he was responsible for the Eastern Europe Fund as the lead portfolio manager and from 2005 to May 2008 as the lead portfolio manager of the Global Emerging Market portfolios.
He was previously employed as a Fund Manager by Fortis Investment Management (Netherlands) NV.
Mr. Chatzoudis holds a Master's degree in Industrial Engineering from the Eindhoven University of Technology and became a VBA charter holder in 1997.
He is registered with the Dutch Securities Institute.
Dimitri Chatzoudis active positions
Companies | Position | Start |
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Robeco Institutional Asset Management BV
Robeco Institutional Asset Management BV Investment ManagersFinance Robeco Institutional Asset Management BV (RIAM) is the Netherlands-based asset management subsidiary of Robeco Europe NV, itself a subsidiary of ORIX Corp. (TYO: 8591, ADR: IX), a Japanese business conglomerate that started operations in 1964. Headquartered in Rotterdam, the firm was founded in 1929 and provides investment products and services to institutional and private clients through locations in Europe, the US, the Middle East and Asia. RIAM is a socially responsible investor which engages in active dialogue with the companies in which they invest about good corporate governance and subjects of environmental or social interest. Their product range encompasses fixed-income, equity and alternative investments. | Analyst-Equity | - |
Former positions of Dimitri Chatzoudis
Companies | Position | End |
---|---|---|
Fortis Investment Management (Netherlands) NV
Fortis Investment Management (Netherlands) NV Investment ManagersFinance Fortis Investment Management (Netherlands) NV (FIM-N) is the Dutch branch and a subsidiary of Fortis Investment Management SA (Belgium) which is a subsidiary of Fortis Bank SA/NV, in turn majority-owned by the French group BNP Paribas (XP: BNP). The Belgian headquarters and their subsidiaries in Europe, Asia and the US are known under the commercial name Fortis Investments. Fortis Investments manages a broad range of investment products across all major asset classes and markets.The group is organized as a worldwide network of competence centers, each specialized in an asset class or geographical region. Their flagship product is the Fortis L Fund, a Luxembourg-domiciled umbrella fund comprising a wide variety of sub-funds, for the most part sectorial. Established in 1982 and formerly known as AMEV Asset Management, FIM-N is located in Amsterdam. In 2008 the firm absorbed ABN AMRO Asset Management BV, following the merger of the asset management activities of Fortis and ABN AMRO worldwide. FIM-N manages a range of global, regional and domestic investment strategies. The firm specializes in asset allocation and balanced funds, in multi-management and in real estate investments. They manage a range of funds quoted on the Dutch stock exchange, and distributed domestically through the Fortis group as well as through third-parties. They also manage discretionary accounts. The firm's clients are institutions and high-net worth individuals, as well as wholesalers and retail investors. | Portfolio Manager-Equities | 2008-05-31 |
Experiences
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Connections
1st degree connections
1st degree companies
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Female
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Private companies | 2 |
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Fortis Investment Management (Netherlands) NV
Fortis Investment Management (Netherlands) NV Investment ManagersFinance Fortis Investment Management (Netherlands) NV (FIM-N) is the Dutch branch and a subsidiary of Fortis Investment Management SA (Belgium) which is a subsidiary of Fortis Bank SA/NV, in turn majority-owned by the French group BNP Paribas (XP: BNP). The Belgian headquarters and their subsidiaries in Europe, Asia and the US are known under the commercial name Fortis Investments. Fortis Investments manages a broad range of investment products across all major asset classes and markets.The group is organized as a worldwide network of competence centers, each specialized in an asset class or geographical region. Their flagship product is the Fortis L Fund, a Luxembourg-domiciled umbrella fund comprising a wide variety of sub-funds, for the most part sectorial. Established in 1982 and formerly known as AMEV Asset Management, FIM-N is located in Amsterdam. In 2008 the firm absorbed ABN AMRO Asset Management BV, following the merger of the asset management activities of Fortis and ABN AMRO worldwide. FIM-N manages a range of global, regional and domestic investment strategies. The firm specializes in asset allocation and balanced funds, in multi-management and in real estate investments. They manage a range of funds quoted on the Dutch stock exchange, and distributed domestically through the Fortis group as well as through third-parties. They also manage discretionary accounts. The firm's clients are institutions and high-net worth individuals, as well as wholesalers and retail investors. | Finance |
Robeco Institutional Asset Management BV
Robeco Institutional Asset Management BV Investment ManagersFinance Robeco Institutional Asset Management BV (RIAM) is the Netherlands-based asset management subsidiary of Robeco Europe NV, itself a subsidiary of ORIX Corp. (TYO: 8591, ADR: IX), a Japanese business conglomerate that started operations in 1964. Headquartered in Rotterdam, the firm was founded in 1929 and provides investment products and services to institutional and private clients through locations in Europe, the US, the Middle East and Asia. RIAM is a socially responsible investor which engages in active dialogue with the companies in which they invest about good corporate governance and subjects of environmental or social interest. Their product range encompasses fixed-income, equity and alternative investments. | Finance |
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