Ruari van Veen

Portfolio Manager

Ruari van Veen is a portfolio manager with a focus on rates markets, including money markets, sovereigns and LDI portfolios. Prior to his current role, he worked as a derivatives analyst in Aegon AM’s operations department. Ruari joined the industry and the firm in 2017. He became a portfolio manager in 2020. He holds a master’s degree in financial economics from Erasmus University Rotterdam and completed CFA level II.