24-05-2017 Robeco launches Robeco Global Industrial Innovation Equities
20-04-2017 Jan Keuppens succeeds Mark Glazener as lead portfolio manager of Robeco Global Stars Equities Fund N.V.
19-04-2017 Robeco appoints Juan Carlos Briones Director, Consultant Relations
07-03-2017 Successful NLII business loan fund continues to grow
23-02-2017 Peter Walsh appointed as Head of Robeco UK
24-01-2017 Robeco awarded by France state reserve fund FRR to manage its ‘Optimized Equity index strategy with an ESG approach’
23-01-2017 Graham Elliot appointed as Head of Asia Pacific & Middle East Distribution at Robeco
20-01-2017 Robeco announces name changes for Lux-o-rente and Flex-o-rente
18-01-2017 Robeco National Investing Poll: the Dutch are healthy, down-to-earth investors
13-01-2017 Hilko de Brouwer appointed Head of Robeco's Institutional Client Relations NL & Nordics
05-01-2017 Robeco PPI and i-PensionSolutions complete merger
19-12-2016 Robeco launches Robeco QI Global Sustainable Conservative Equities fund
16-12-2016 Robeco launches Robeco QI Conservative Multi Asset fund
01-11-2016 Robeco obtains WFOE license and launches China research team
18-10-2016 Robeco National Investing Poll: The economy is recovering, so confidence is growing
Robeco is an international asset manager offering an extensive range of active investments, from equity markets to government bonds. Today, Robeco is the center of asset-management expertise for ORIX Corporation, Robeco’s majority shareholder based in Tokyo, Japan. We believe strongly in sustainability investing, quantitative research techniques and adding value for clients through innovative investment techniques.
Our approach can best be described as ‘cautious pioneering’: two characteristics that may appear contradictory but are in fact complementary. Our corporate brochure explains how we achieve this.
Robeco has been at the forefront of sustainability investing since the 1990’s. We believe and demonstrate that good corporate governance and social responsibility enhance the long-term risk-return profiles of our investment portfolios.