Gijs van Oostrom

Portfolio Manager At Goldman Sachs Asset Management at Goldman Sachs

Gijs Van Oostrom is a portfolio manager at Goldman Sachs Asset Management since January 2023, focusing on solutions utilizing derivatives, Liability Driven Investments, and quantitative strategies. Prior experience includes a tenure at NN Investment Partners from November 2005 to May 2021, where Gijs held multiple senior roles including Senior Data Scientist and Senior Balance Sheet Manager for LDI Insurance. Responsibilities involved managing proprietary portfolios, sovereign bonds, and monitoring interest rate positions for various insurance companies. Earlier experience includes a position as a Quantitative Analyst at Robeco and an internship as a Quantitative Researcher. Gijs holds a Master's degree in Econometrics & Operations Research from Tilburg University, and has completed certifications in Financial Risk Management and Chartered Alternative Investment Analysis.

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