ABOUT & CONTACT
About Erwin Cloosterman
I am an economist with a Master’s specialization in Investment Theory and more than 25 years of experience in the financial sector, including roles in auditing, controlling, and financial system integration.
Over the course of my career, I have worked on finance functions, data governance, and the integration of financial and IT systems within large organizations.
My current focus is on quantitative research and systematic investment strategies. I design and analyze algorithmic models for portfolio allocation, risk management, and market behavior.
I am particularly interested in data-driven and rules-based approaches to investing that emphasize robustness, transparency, and disciplined execution.
This work combines my background in finance and governance with a long-standing interest in analytical and systematic decision-making.