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La selezione di tali azioni si basa su un modello quantitativo. Il fondo intende conseguire nel lungo periodo rendimenti superiori a quelli dei mercati azionari con un rischio di downside inferiore nell'arco dell'intero ciclo d'investimento, controllando al contempo il rischio relativo applicando dei limiti (su Paesi e settori) alla misura dello scostamento dal Benchmark. I titoli azionari a basso rischio selezionati sono caratterizzati da elevati rendimenti azionari, valutazioni interessanti, un forte momentum oltre che revisioni positive degli analisti. Ciò comporta un portafoglio diversificato a bassa rotazione di titoli difensivi, per ottenere rendimenti azionari stabili e un reddito elevato.",{"id":651,"internal":651,"anchor":651,"title":652,"enabled":215},{"data":672,"subMenuItem":679},{"assetUnderManagement":673,"shareClassAssetUnderManagement":674,"inceptionDate":675,"year1Performance":676,"dividendPaying":677,"returnType":678},"3326435235.72","2387284.1","2013-07-15T00:00:00.000Z",30.7532658260878,"Yes","Transaction",{"id":654,"internal":654,"anchor":654,"title":655,"enabled":215},{"data":681,"subMenuItem":682},[],{"id":657,"internal":657,"anchor":657,"title":658,"enabled":291},{"names":684,"subMenuItem":690},[685,686,687,688,689],"Pim van Vliet","Arlette van Ditshuizen","Maarten Polfliet","Jan Sytze Mosselaar","Arnoud Klep",{"id":660,"internal":660,"anchor":660,"title":661,"enabled":215},{"cv":692},"Pim van Vliet è Responsabile di Conservative Equities e Chief Quant Strategist. 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Presiede il comitato Equity Risk di Robeco. Maarten Polfliet è Portfolio Manager Quantitative Equities. Maarten è specializzato nella costruzione di portafogli e nell'analisi degli stili di investimento. Fino al 2014, Maarten è stato Quant Client Portfolio Manager di Robeco. Dal 2002, è stato Equity Portfolio Manager presso Bank Insinger de Beaufort, fino al 2005, quando è entrato in Robeco. Ha iniziato la propria carriera nel 1999, come Portfolio Manager per clienti privati e istituzionali alla SNS Bank Nederland. Ha un Master in economia finanziaria conseguito presso l'Università di Tilburg e un Master in analisi finanziaria conseguito presso l'Università di Amsterdam. Jan Sytze Mosselaar è Portfolio Manager Quantitative Equities. È responsabile delle strategie quant equity ed è specializzato nella selezione quantitativa dei titoli e nell'analisi del portafoglio e del mercato. Jan Sytze è l'autore di \"A Concise Financial History of Europe\", pubblicato da Robeco. Ha iniziato la propria carriera in Robeco nel 2004 e ha lavorato per dieci anni come gestore di portafoglio multi-asset, responsabile di fondi multi-asset, fondi di allocazione quantistica e mandati pensionistici fiduciari. Ha conseguito un master in economia aziendale con specializzazione in finanza e investimenti presso l'Università di Groningen. È titolare di una certificazione CFA®. Arnoud Klep è Portfolio Manager Quantitative Equities. Arnoud è specializzato nella costruzione del portafoglio e nell'integrazione della sostenibilità nelle azioni quantitative. In precedenza, Arnoud è stato Responsabile degli Investimenti Strutturati per Robeco, gestendo diverse strategie di investimento quantitative. Ha iniziato la propria carriera nel 2001, presso il dipartimento di ricerca quantitativa di Robeco. 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Ogni anno gli investitori pagano l'imposta sul redditto sul valore del patrimonio netto al 1º gennaio se e nella misura in cui tale patrimonio netto supera la quota di esenzione fiscale dell'investitore. Ogni importo investito nel fondo fa parte degli attivi netti degli investitori. Gli investitori privati residenti al di fuori dei Paesi Bassi non saranno soggetti alle imposte nei Paesi Bassi sui loro investimenti nel fondo. Tuttavia nel loro paese di residenza tali investitori potranno essere soggetti a delle imposte sugli investimenti nel fondo. Ciò accade in base alla legislazione fiscale applicabile nel rispettivo paese. Alle persone giuridiche o agli investitori professionali sono applicati dei regolamenti fiscali differenti. 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