Profile
Roelof M.
Salomons worked as the Chief Executive Officer at Pelargos Capital BV from 2009 to 2012.
He also worked as a Portfolio Manager at AEGON Investment Management BV.
From 2013 to 2019, he worked at Van Lanschot Kempen Investment Management NV as the Chief Strategist.
Former positions of Roelof M. Salomons
| Companies | Position | End |
|---|---|---|
Van Lanschot Kempen Investment Management NV
Van Lanschot Kempen Investment Management NV Investment ManagersFinance Van Lanschot Kempen is a European-oriented, active investment manager that delivers both financial and sustainable alpha in less efficient and alternative markets. They have a long-term focus and personal approach and are dedicated to preserving and creating wealth sustainably for their clients and the society they serve. Van Lanschot Kempen maintains a solid risk profile with a moderate risk appetite and focuses on both profitable and sustainable growth with a capital-light balance sheet. | Portfolio Manager-Equities | 01/01/2019 |
Pelargos Capital BV
Pelargos Capital BV Investment ManagersFinance Pelargos is an active investor which employs fundamental, bottom-up value analysis and long-term investment horizon. The firm utilizes a bottom-up perspective to select stocks and allocate risk. | Chief Executive Officer | 31/12/2012 |
AEGON Investment Management BV
AEGON Investment Management BV Investment ManagersFinance AEGON-IM is an active, long-term, fixed-income and asset allocation specialist manager which follows a value-oriented investment approach. Their investment philosophy emphasizes flexibility and pragmatism and they invest in large- to mega-cap equity, fixed-income and alternative investments in North America, Europe and Asia. The firm follows a research-driven process which blends top-down analysis with bottom-up stock picking. They seek to identify stocks that are undervalued relative to earnings, cash flow, or book value and share research with other asset management subsidiaries within the AEGON group, particularly in Great Britain, the US and Canada. Their in-house research combines fundamental and quantitative analysis with company visits and is supplemented by outsourced research. AEGON-IM manages risks by applying the "three lines of defense" model. The first line of defense consists of Portfolio Risk Control and Portfolio Risk Management. Finance, Compliance and Operational Risk Management departments are the second line of defense and the third line of defense consists of the independent Group Internal Audit, which periodically checks the first two lines of defense to determine whether activities are carried out according to previously agreed standards. | Portfolio Manager-Equities | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 3 |
|---|---|
AEGON Investment Management BV
AEGON Investment Management BV Investment ManagersFinance AEGON-IM is an active, long-term, fixed-income and asset allocation specialist manager which follows a value-oriented investment approach. Their investment philosophy emphasizes flexibility and pragmatism and they invest in large- to mega-cap equity, fixed-income and alternative investments in North America, Europe and Asia. The firm follows a research-driven process which blends top-down analysis with bottom-up stock picking. They seek to identify stocks that are undervalued relative to earnings, cash flow, or book value and share research with other asset management subsidiaries within the AEGON group, particularly in Great Britain, the US and Canada. Their in-house research combines fundamental and quantitative analysis with company visits and is supplemented by outsourced research. AEGON-IM manages risks by applying the "three lines of defense" model. The first line of defense consists of Portfolio Risk Control and Portfolio Risk Management. Finance, Compliance and Operational Risk Management departments are the second line of defense and the third line of defense consists of the independent Group Internal Audit, which periodically checks the first two lines of defense to determine whether activities are carried out according to previously agreed standards. | Finance |
Van Lanschot Kempen Investment Management NV
Van Lanschot Kempen Investment Management NV Investment ManagersFinance Van Lanschot Kempen is a European-oriented, active investment manager that delivers both financial and sustainable alpha in less efficient and alternative markets. They have a long-term focus and personal approach and are dedicated to preserving and creating wealth sustainably for their clients and the society they serve. Van Lanschot Kempen maintains a solid risk profile with a moderate risk appetite and focuses on both profitable and sustainable growth with a capital-light balance sheet. | Finance |
Pelargos Capital BV
Pelargos Capital BV Investment ManagersFinance Pelargos is an active investor which employs fundamental, bottom-up value analysis and long-term investment horizon. The firm utilizes a bottom-up perspective to select stocks and allocate risk. | Finance |
- Stock Market
- Insiders
- Roelof M. Salomons
















