Jan Sytze Mosselaar

Portfolio Manager

We translate long-term empirical evidence into real-life, transparant, rules-based investment strategies, based on a broad universe of stocks

We translate long-term empirical evidence into real-life, transparant, rules-based investment strategies, based on a broad universe of stocks

About Jan Sytze Mosselaar

Jan Sytze Mosselaar is Portfolio Manager Quantitative Equities. He focuses on managing the wide range of regional and global Conservative Equities strategies, Robeco’s Low-volatility strategy, and the factor investing portfolios, such as Value-, Momentum-, Quality- and Multi-Factor portfolios. Jan Sytze is the author of ‘A Concise Financial History of Europe’, published by Robeco. He started his career in 2004 at Robeco and worked for ten years as a multi-asset portfolio manager, responsible for multi-asset funds, quant allocation funds and fiduciary pension mandates. He holds a Master’s in Business Economics with a specialization in Finance & Investments from the University of Groningen. He is a CFA® charterholder.