Mathias Neidert, CFA
Managing Director - Hoofd van Public Markets
Mathias is hoofd Public Markets en lid van het Senior Management Team van de onderneming. Hij begon in maart 2008 bij bfinance als Senior Associate en richtte zich op onderzoek en selectie van managers in vastrentende waarden. In 2014 werd hij benoemd tot Head of Public Markets, waar hij leiding gaf aan een team van asset class specialisten die zich bezighielden met beleggingsadvies binnen beursgenoteerde aandelen en vastrentende waarden. Voordat hij bij bfinance kwam, werkte hij voor RBC Dexia in Luxemburg, meest recentelijk als Product Manager voor Investment Analytics-diensten. Mathias begon zijn carrière in de beleggingsfondsensector in 2003. Hij is CFA-charterhouder en behaalde een mastergraad in bedrijfskunde aan de Universiteit van St. Gallen (Lic. Oec. HSG) in Zwitserland.
More insights from the team:
Investment Grade Corporate Bonds: Understanding Manager Performance
Investor appetite for investment grade fixed income grew significantly last year but active managers are coming under scrutiny. This report examines corporate bond manager performance and...
Manager Intelligence and Market Trends - February 2024
bfinance’s quarterly report in February 2024: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major...
Fixed Income with Impact? GSS+ Bonds and Beyond - Sector in Brief
Recent years have brought significant developments for the GSS+ (Green, Social, Sustainability et al) fixed income market. There are now more than 80 investment strategies—active and passive—with an...
Manager Intelligence and Market Trends - November 2023
bfinance’s quarterly report in November 2023: read the team’s latest insights on institutional investor activity, risk appetite, market developments and asset manager performance across all major...
Investor Spotlight: TfL Pension Reaps Rewards from Liquid Alternatives
With around 15% of the portfolio in ‘liquid alternatives’ such as hedge funds and a full 45% in ‘alternative investments,’ the £14 billion (US$17 billion) TfL Pension Fund has made diversification a...
Outsourced CIO (OCIO) - Sector in Brief
The ‘Outsourced Chief Investment Officer’ (or ‘OCIO’) investment model is on the rise. Market volatility, increased portfolio complexity and growing regulatory burdens are encouraging the trend...
Transaction Cost Analysis: Has Transparency Really Improved?
Transaction cost analysis (TCA) awareness is on the rise, with equity and bond investors increasingly recognising trading as a key area of leakage.
ESG Assessment Challenges in Investment Manager Due Diligence
When selecting and monitoring external investment managers, it is increasingly important to develop a clear understanding of their credibility in ESG, sustainable and impact investment matters. The...