Vontobel’s Wouter Van Overfelt joins Oslo Roundtable

Wouter Van Overfelt, senior portfolio manager/quantitative analyst director at Vontobel Asset Management is joining the upcoming Oslo Roundtable 2017, taking place 8 June at the Hotel Continental in the Norwegian capital.

Van Overfelt joined Vontobel Asset Management in April 2013, in the emerging markets bonds team. Previously, he headed the business control of the central portfolio management unit within Gaz de France (GDP) Suez. Before Joining GDF, from 2008 to 2012, he worked at Dexia. From 2008-2010 he worked as portfolio manager and quantitative analyst within the fixed income team at Dexia Asset Management, where he was responsible for the management of bond funds and the development and back testing of trading strategies and quantitative models. From 2010 to 2012 he was senior credit risk modeler and member of the credit portfolio modelling and pricing team at Dexia Group.

Van Overfelt holds a PhD as well as a Master’s in Applied Economics from the University of Antwerp.

ABOUT THE AUTHOR
Jonathan Boyd
Editorial Director of Open Door Media Publishing Ltd, and Editor of InvestmentEurope. Jonathan has over two decades of media experience in Japan, Australia, Canada and the UK. Over the past 16 years he has been based in London writing about funds and investments . From editing the newsletter of the Swedish Chamber of Commerce in Japan in the 1990s he now focuses on Nordic markets for InvestmentEurope.

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