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. Jan Sytze specializes in portfolio analysis, investment style analyses and financial markets. He is the author of a book about European financial history. He started his career in 2004 at Robeco and worked for ten years as a multi-asset Portfolio Manager, responsible for balanced funds, quant allocation funds and fiduciary pension mandates. Jan Sytze holds a Master’s in Business Economics with a specialization in Finance & Investments from the University of Groningen. He is a CFA® charterholder.