Maurits van der Meer, CFA is a senior portfolio manager at PGGM in the Systematic Equity Strategies team, where he focuses on quantitative research into global equity markets. In his research he is looking to apply machine learning techniques and new datasets to supplement a more traditional factor-investing approach for PGGM’s multi-factor equity portfolios.
Prior to working at PGGM, Maurits was a portfolio manager in the quantitative equities team at Achmea Investment Management, and a quantitative analytics specialist at FactSet. He holds a M.Sc. in Mathematics from VU University in Amsterdam and is a CFA charterholder.