“
Applying the right filter to the available market information is vital in our profession: What is a signal and what is noise?
About Peter van der Welle
Peter van der Welle is Strategist and member of the Sustainable Multi Asset team. He is responsible for the Robeco Multi Asset funds and Robeco ONE. He conducts and filters proprietary research to generate trade ideas. He is one of the key authors of Robeco’s Expected Returns publication and developer of the underlying dynamic asset allocation framework. His views appear in financial media on a regular basis. He joined as a Strategist in 2012. Prior to this, he was employed as Investment Strategist at MN and was an Analyst at investment bank NIBC. He started his career as a researcher at Statistics Netherlands in 2006. He holds a Master's in Economics from Tilburg University.
Prior to this, he was employed as Investment Strategist at MN and was an Analyst at investment bank NIBC. He started his career as a researcher at Statistics Netherlands in 2006. He holds a Master's in Economics from Tilburg University.