By continuing on this site you have agreed to cookies being placed and accessed by this website. More information and adjusting cookie settings.
Mr. Johan Duyvesteyn is Portfolio Manager and Quantitative Researcher with Robeco. Johan has been active in the industry and with Robeco since 1999. His areas of expertise are government bond market timing, country sustainability and emerging debt. Johan has published in the academic finance literature, including the Journal of Banking and Finance, Journal of Fixed Income and Journal of Empirical Finance. He holds a Master's degree in Financial Econometrics and a PhD in International Finance from Erasmus University Rotterdam. He became a CFA charter holder in 2005.