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Robeco Institutional Asset Management B.V.13F | |
Robeco Institutional Asset Management B.V. | |
Last update 2024-10-29 | 904 Stocks (49 new) |
Value $50.34 Bil | Turnover 9 % |
Portfolio Report |
Robeco Institutional Asset Management B.V. Profile
Robeco Institutional Asset Management is an asset management company acting as a subsidiary of Robeco Groep N.V., managing its investment institutions. Its parent company is an international asset manager that acts as the main asset management arm of ORIX Corporation, which acquired the company from Rabobank Groep in 2013, which acquired the company in 2001. The company can trace its history back to 1923, when the Rotterdam Investment Consortium was founded, along with the original Robeco Fund, with the Robeco Name taking the first two letters of its Dutch name Rotterdamsch Beleggings Consortium. The company started with over $1 million in capital, but would face various issues that would greatly diminish its assets, although it would survive until the 1940s to be revived by its large investment in the US during the wartime economy. The company would begin expanding internationally in the 1950s and 1960s, with new listings in many major European markets and also in Hong Kong and Tokyo. Robeco would become the largest mutual fund in Europe in 1969, continuing to open more offices in various major European locations. In the 1990s, the company would focus on acquiring holdings in the United States, continuing to expand its international strategy and continuing to introduce new investment solutions into the 2000s. Robeco Institutional Asset Management today operates through its market specific subsidiaries in Austria, Belgium, Italy, France, Germany, Netherlands, Spain, Switzerland, the United Kingdom, and United States, which alone has almost $3 billion in total assets under management. The majority of its investments are focused in the financial, services, and technology sectors, together making up almost 60% of its total allocations, and also include investments in the health care, consumer noncyclical, utilities, capital goods, energy, consumer cyclical, and capital goods sectors, among others to a lesser degree, in order of decreasing allocation. Some of the strategies that Robeco offers include its All Strategy Euro Bonds, Emerging Markets Equities, Aggregate Fixed Income, and Quant Equities.
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