ERWIN
CLOOSTERMAN
Quantitative Research & Systematic Investing
Researching and developing systematic investment strategies focused on robustness, risk management and long-term performance.
Quantitative Research
Research into systematic investment strategies across ETFs, volatility products and digital assets.
Risk Management
Focus on robustness, drawdown control and adaptive portfolio allocation. Reliability is at the core of every decision, model, and license I offer.
Finance & Governance
More than 25 years of experience in finance, auditing, insurance and governance.