Profile
Mr. Mark Whirdy is a Portfolio Manager at Robeco Institutional Asset Management BV in the Credit team for firm’s factor credits strategies: Conservative Credits, Multi-Factor Credits and Multi-Factor High Yield.
His areas of expertise include portfolio optimization, credit markets, credit derivatives modelling and quant investment process development.
Prior to joining Robeco, Mr. Whirdy was Portfolio Manager in the Quant Credit team at Pioneer Investments and Analyst in the Quantitative Equities team at that firm.
He is a graduate from University College Dublin, and holds a Master’s in Business from University of Ulster.
Former positions of Mark Whirdy
| Companies | Position | End |
|---|---|---|
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. | Portfolio Manager-Fixed Income | 2025-09-30 |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 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 |
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