Erik van Leeuwen

Robeco Asset Management

Senior Portfolio Manager

Rotterdam, 3011 AG

Netherlands

SCHOLARLY PAPERS

3

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Scholarly Papers (3)

1.

Dts (Duration Times Spread)

Journal of Portfolio Management, Winter 2007
Number of pages: 48 Posted: 14 Jan 2007
Lehman Brothers, New York - Fixed Income Research, Lehman Brothers, Lehman Brothers, Robeco Asset Management, Robeco Asset Management and Robeco Asset Management
Downloads 5,769 (2,123)
Citation 1

Abstract:

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credit risk, corporate bonds

2.

Successful Factors to Select Outperforming Bonds

Journalof Portfolio Management, volume 28, number 1, fall 2001
Posted: 04 Sep 2018
Jouke Hottinga, Erik van Leeuwen and Judith van IJserloo
AEGON Group, Robeco Asset Management and ROBECO Group

Abstract:

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Factor Investing, Factors, Value, Momentum, Size, Credts, Corporate Bonds, Investment Decisions, Information and Market Efficiency, Portfolio Choice

3.

Value of Security Selection Versus Asset Allocation in Credit Markets

Journalof Portfolio Management, Vol. 25, No. 4, 1999
Posted: 04 Sep 2018
Lev Dynkin, Peter Ferket, Jay Hyman, Erik van Leeuwen and Wei Wu
Lehman Brothers, ROBECO Group, Lehman Brothers, Robeco Asset Management and Lehman Brothers, New York

Abstract:

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Perfect Foresight, Security Selection, Asset Allocation, Credits, Corporate Bonds, Credit Selection, Portfolio Choice, Investment Decisions, Information and Market Efficiency