Profil
Constant Eduard Maria Beckers currently works at Goldman Sachs Asset Management International Holdings BV, as Chief Executive Officer from 2013.
Dr. Beckers also formerly worked at Goldman Sachs Advisors BV, as Chief Executive Officer, Barra International LLC, as Chief Executive Officer-Institutional Analytics, NN Investment Partners BV, as Chief Executive Officer, Barclays Global Investors Ltd. (UK), as Head of Hedge Funds from 2004 to 2009, NN Group NV, as Member-Management Board from 2014 to 2017, WestLB Mellon Asset Management Kapitalanlage GmbH, as Chief Investment Officer, Blackfriars Asset Management Ltd., as Head of Alpha Management Group from 2002 to 2003, Rolinco NV, as Member-Supervisory Board, KAS BANK NV, as Member-Supervisory Board, Robeco Global Stars Equities Fund NV, as Member-Supervisory Board, Katholieke Universiteit Leuven, as Professor, and BlackRock Advisors (UK) Ltd., as Head of Hedge Funds.
Dr. Beckers received his doctorate degree from the University of California, Berkeley and undergraduate degree from Katholieke Universiteit Leuven.
Postes actifs de Stan Beckers
| Sociétés | Poste | Début |
|---|---|---|
Goldman Sachs Asset Management International Holdings BV
Goldman Sachs Asset Management International Holdings BV Investment ManagersFinance Provides investment advice | Directeur Général | 01/07/2013 |
Anciens postes connus de Stan Beckers
| Sociétés | Poste | Fin |
|---|---|---|
| NN GROUP N.V. | Corporate Officer/Principal | 01/04/2017 |
Barclays Global Investors Ltd. (UK)
Barclays Global Investors Ltd. (UK) Regional BanksFinance Provides investment services | Head-Equity Investments | 04/12/2009 |
| ROLINCO N.V. | Directeur/Membre du Conseil | 01/07/2004 |
Blackfriars Asset Management Ltd.
Blackfriars Asset Management Ltd. Investment ManagersFinance Blackfriars is an active manager which has specific expertise in emerging market equity and debt as well as in global fixed-income and currencies. Their portfolios are primarily long-only, however they also manage global long/short emerging market equity portfolios. The firm combines fundamental-driven, bottom-up stock selection with disciplined quantitative analysis in an investment process involving a three-stage filtering process. First an internally developed quantitative stock screener based on three inputs (a multi-factor model, a CFROI model and a technical model) identifies pricing anomalies, then a team of in-house analysts establishes their fundamental view of the value of these companies, after which they construct a portfolio with stock-specific risk. | Directeur en chef des Investissements | 31/01/2003 |
WestLB Mellon Asset Management Kapitalanlage GmbH
WestLB Mellon Asset Management Kapitalanlage GmbH Regional BanksFinance WMAMK is an active, VARP-oriented manager (Value At a Reasonable Price), whose investment philosophy and process is focused on European and Emerging Markets. The firm specializes in the management of European bonds, Euro corporates, European ABS, European high yield, global high yield, European equities, European balanced funds, multi-asset funds and asset allocation products. WMAMK's equity investment process combines fundamental-driven, bottom-up stock selection with disciplined quantitative analysis, and involves a three stage filtering process. First an internally developed quantitative stock screener made of three inputs (a multi-factor model, a CFROI model and a technical model) identifies pricing anomalies, then a team of in-house analysts establishes their fundamental view of the value of these companies, and finally a portfolio is constructed with high stock-specific risk. As a fixed-income manager, the firm specializes in investment-grade Euroland bonds and combines fundamental and quantitative analysis in a top-down selection process. Asset managers conduct in-house research and build model portfolios as well as a list of investment opportunities from which fund managers select securities while replicating the structure of the model portfolio. Risk management is an ongoing process and portfolios are controlled ex-ante and monitored ex-post. WMAMK has a multi-factor team-based approach to decision making and evaluates performance on a risk-adjusted basis. | Directeur en chef des Investissements | - |
Formation de Stan Beckers
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 14 |
|---|---|
Barclays Global Investors Ltd. (UK)
Barclays Global Investors Ltd. (UK) Regional BanksFinance Provides investment services | Finance |
Goldman Sachs Advisors BV
Goldman Sachs Advisors BV Investment ManagersFinance GSBV is an active investor which seeks to bring technical and analytical expertise in developing rigorous and superior solutions for clients and funds seeking more quantitative or model-driven solutions. The firm applies their proprietary research and analytics, global resources, portfolio diagnostics and risk management to the development of investment products and solutions in pursuit of their clients’ objectives. Top-down macro themes shape over-all strategy and provide the context for their bottom-up security selection. | Finance |
Goldman Sachs Asset Management International Holdings BV
Goldman Sachs Asset Management International Holdings BV Investment ManagersFinance Provides investment advice | Finance |
NN Group NV
NN Group NV Life/Health InsuranceFinance Provides insurance services | Finance |
Rolinco NV
Rolinco NV Investment Trusts/Mutual FundsMiscellaneous Functions as an open-end investment fund | Miscellaneous |
WestLB Mellon Asset Management Kapitalanlage GmbH
WestLB Mellon Asset Management Kapitalanlage GmbH Regional BanksFinance WMAMK is an active, VARP-oriented manager (Value At a Reasonable Price), whose investment philosophy and process is focused on European and Emerging Markets. The firm specializes in the management of European bonds, Euro corporates, European ABS, European high yield, global high yield, European equities, European balanced funds, multi-asset funds and asset allocation products. WMAMK's equity investment process combines fundamental-driven, bottom-up stock selection with disciplined quantitative analysis, and involves a three stage filtering process. First an internally developed quantitative stock screener made of three inputs (a multi-factor model, a CFROI model and a technical model) identifies pricing anomalies, then a team of in-house analysts establishes their fundamental view of the value of these companies, and finally a portfolio is constructed with high stock-specific risk. As a fixed-income manager, the firm specializes in investment-grade Euroland bonds and combines fundamental and quantitative analysis in a top-down selection process. Asset managers conduct in-house research and build model portfolios as well as a list of investment opportunities from which fund managers select securities while replicating the structure of the model portfolio. Risk management is an ongoing process and portfolios are controlled ex-ante and monitored ex-post. WMAMK has a multi-factor team-based approach to decision making and evaluates performance on a risk-adjusted basis. | Finance |
Blackfriars Asset Management Ltd.
Blackfriars Asset Management Ltd. Investment ManagersFinance Blackfriars is an active manager which has specific expertise in emerging market equity and debt as well as in global fixed-income and currencies. Their portfolios are primarily long-only, however they also manage global long/short emerging market equity portfolios. The firm combines fundamental-driven, bottom-up stock selection with disciplined quantitative analysis in an investment process involving a three-stage filtering process. First an internally developed quantitative stock screener based on three inputs (a multi-factor model, a CFROI model and a technical model) identifies pricing anomalies, then a team of in-house analysts establishes their fundamental view of the value of these companies, after which they construct a portfolio with stock-specific risk. | Finance |
KAS BANK NV
KAS BANK NV Regional BanksFinance Offers securities and investor services for institutional investors including pension funds, insurance companies, investment funds and asset managers | Finance |
Robeco Global Stars Equities Fund NV
Robeco Global Stars Equities Fund NV Investment Trusts/Mutual FundsMiscellaneous Acts as Open-End Investment Fund/Unit Trust | Miscellaneous |
University of California, Berkeley
University of California, Berkeley Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Katholieke Universiteit Leuven
Katholieke Universiteit Leuven Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Barra International LLC
Barra International LLC Miscellaneous Commercial ServicesCommercial Services Provides risk management solutions to investment professionals | Commercial Services |
BlackRock Advisors (UK) Ltd.
BlackRock Advisors (UK) Ltd. Investment ManagersFinance BlackRock UK manages investments funds that invest in cash, commodities, equity, fixed income, multi-asset and real estate. | Finance |
Goldman Sachs Asset Management BV
Goldman Sachs Asset Management BV Investment ManagersFinance GSAM BV is an active, risk aware manager which conducts original in-house research and utilizes ESG overlays across their entire range, aiming to achieve attractive investment returns. Responsibly manages clients’ assets through actively managed income-driven products and advice-embedded solutions, creating value for all their stakeholders and the society in which the firm operates. GSAM BV provides a wide range of products and solutions across asset classes, geographies and styles. Their business is focused around four key asset classes: fixed-income, equity, real assets and multi-asset capabilities. | Finance |
















