With 6 years’ experience as a sell-side analyst at a leading Dutch merchant bank covering the Benelux financial sector and 10 years' experience as a buy-side analyst coving the global financial sector, I have become well acquainted with issues and terminology that matter in insurance, banking and Fintech.
I have worked as a Senior Supervision Officer in an ECB-led Joint Supervisory Team that was responsible for one specific large Dutch bank. During this period, I wrote extensive research and scrutinized many internal reports in areas such as bank strategy, finance, treasury, credit risk, quantitative risk analyses, IT risks and financial markets regulation.
For over ten years, I worked for a leading European asset manager in Belgium and The Netherlands, and have published extensively on investment strategy and performance (attribution).
I have worked as an analyst of the European listed real estate sector and have published extensively on large property companies with retail, offices and residential property portfolios. In addition, I manage my own multi-family rental property portfolio in the Federal Republic of Germany.