Profile
Mr. Sjoerd Kitzen, CFA, is Senior Portfolio Manager at NNIP Advisors BV.
He is responsible for global core fixed income investment policy and model portfolio construction.
He is also responsible for managing flagship fixed income mutual funds.
From 2009-2011, Mr. Kitzen was a Portfolio Manager in the Money Market Team at NN IP.
He was a Junior Portfolio Manager in the Global Fixed Income team for 2007-2009, responsible for constructing and executing the Fixed Income investment policy with regard to Global Fixed Income at NN IP.
He received his Postgraduate Degree in Economics from the Tilburg University in 2006.
Former positions of Sjoerd Kitzen
| Companies | Position | End |
|---|---|---|
Goldman Sachs Advisors BV
Goldman Sachs Advisors BV Investment ManagersFinance GSBV is an active investor which seeks to bring technical and analytical expertise in developing rigorous and superior solutions for clients and funds seeking more quantitative or model-driven solutions. The firm applies their proprietary research and analytics, global resources, portfolio diagnostics and risk management to the development of investment products and solutions in pursuit of their clients’ objectives. Top-down macro themes shape over-all strategy and provide the context for their bottom-up security selection. | Portfolio Manager-Fixed Income | 2017-05-31 |
Experiences
Positions held
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Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
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Female
Members of the board
Executives
Linked companies
| Private companies | 1 |
|---|---|
Goldman Sachs Advisors BV
Goldman Sachs Advisors BV Investment ManagersFinance GSBV is an active investor which seeks to bring technical and analytical expertise in developing rigorous and superior solutions for clients and funds seeking more quantitative or model-driven solutions. The firm applies their proprietary research and analytics, global resources, portfolio diagnostics and risk management to the development of investment products and solutions in pursuit of their clients’ objectives. Top-down macro themes shape over-all strategy and provide the context for their bottom-up security selection. | Finance |
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