Robeco-logo_1024x1024px.jpg

Robeco

since 1929
  • 501-1,000 employees
  • Financial Services

Robeco

Robeco is a pure-play international asset manager founded in 1929 with headquarters in Rotterdam, the Netherlands, and 15 offices worldwide.

A global leader in sustainable investing since 1995, its unique integration of sustainable as well as fundamental and quantitative research enables the company to offer institutional and private investors an extensive selection of active investment strategies, for a broad range of asset classes.

As at March 2025, Robeco had EUR 220 billion in assets under management and assets under advice, of which EUR 218 billion is committed to ESG integration and EUR 85 billion is managed based on Quant models. Robeco is a subsidiary of ORIX Corporation Europe N.V.. More information is available at www.robeco.com.

Expertise

Asset Management, Investment Management, Pension Solutions, Investment Solutions, High Yield Investment Strategies, Emerging Markets, ESG Integration, Quant Investing, Factor Investing, Fixed Income Solutions, and Multi-asset Solutions

SI Debate: Resilience as an investment imperative
  • 23 Apr 2026

Resilience is now an investment edge. Learn how energy, resources and climate risks reshape strategy—and where opportunities emerge.

EM to the core, Episode 2 – Emerging markets’ competitive edge
  • 21 Apr 2026

Discover how emerging markets dominate semiconductors, AI hardware, autos & renewables—and what it means for investors. Watch now.

Safeguarding shareholder rights leads Q1 Active Ownership report
  • 20 Apr 2026

Investor battles for shareholder rights take center stage—see Q1 Active Ownership insights on climate policy, pay, and human rights.

Podcast: In tune with the markets – To the moon
  • 17 Apr 2026

Tune in to a new episode of In tune with the markets, combining the best of markets with the beat of music.

By Robeco In Macro
High Yield: Why quality matters today
  • 16 Apr 2026

Join the webinar on Robeco High Yield Bonds: Why quality matters today

Can the ECB manage Europe's second inflation test?
  • 15 Apr 2026

Can the ECB handle a new energy shock? Explore inflation risks, growth pressures, and what’s next for rates and markets.

Quant chart: Same manager, different alpha
  • 15 Apr 2026

Can one manager diversify alpha? DM and EM strategies show low correlation—unlock diversification without added complexity.

Africa’s leading economies are the next EM opportunity
  • 14 Apr 2026

EM investor Cornelis Vlooswijk reveals why Africa’s top economies, low valuations, and innovation make emerging markets compelling in 2026.

Private credit: The good, the bad, and the illiquid
  • 13 Apr 2026

Private credit’s $2.1T boom faces rising rates, AI risk, and hidden stress. Discover why this “safe” yield play may turn volatile.