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Marcel Dubbeld Email & Phone Number

Head of Risk and Systems, LDI and Fiduciary Management at BNP Paribas Investment Partners
Location: Purmerend, North Holland, Netherlands 7 work roles 1 school
1 work email found @bnpparibas.com LinkedIn matched
✓ Verified Jul 2026 4 data sources Profile completeness 100%

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Role
Head of Risk and Systems, LDI and Fiduciary Management
Location
Purmerend, North Holland, Netherlands
Company size

Who is Marcel Dubbeld? Overview

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Quick answer

Marcel Dubbeld is listed as Head of Risk and Systems, LDI and Fiduciary Management at BNP Paribas Investment Partners, a with 2853 employees, based in Purmerend, North Holland, Netherlands. AeroLeads shows a work email signal at bnpparibas.com and a matched LinkedIn profile for Marcel Dubbeld.

Marcel Dubbeld previously worked as Head of Risk & Systems, LDI & Fiduciary Management at Bnp Paribas Investment Partners and Senior Portfolio Risk Manager at Bnp Paribas Investment Partners. Marcel Dubbeld holds Msc, Econometrics, With Distinction from Universiteit Van Amsterdam.

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Email format at BNP Paribas Investment Partners

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{first}.{last}@bnpparibas.com
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Profile bio

About Marcel Dubbeld

Marcel Dubbeld is a Head of Risk and Systems, LDI and Fiduciary Management at BNP Paribas Investment Partners. They possess expertise in derivatives, portfolio management, equities, asset managment, asset management and 9 more skills.

Listed skills include Derivatives, Portfolio Management, Equities, Asset Managment, and 10 others.

Current workplace

Marcel Dubbeld's current company

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BNP Paribas Investment Partners
Bnp Paribas Investment Partners
Head of Risk and Systems, LDI and Fiduciary Management
Purmerend, NH, NL
Employees
2853
AeroLeads page
7 roles

Marcel Dubbeld work experience

A career timeline built from the work history available for this profile.

Senior Portfolio Manager / Quantitative Analist

Portfolio manager of Lifestyle, Lifecycle and Outcome oriented (decumulation) products within Fortis Investment. Focus area is strategic allocation and the development of new products like income products (variable annuity products)

Jan 2008 - Jun 2009

Vp, Senior Portfolio Manager / Quantitative Analist

Abn Amro Asset Management N.V.

• Responsible for portfolio management of structured multi-alpha equity solutions to offer the best AAAM equity capabilities in an efficient risk/ return framework, total AUM 1.2bn (3 fte, Amsterdam)• (Co-) Manager of the ABN AMRO Europe Equity Fund, a multi alpha solution to offer the best AAAM European equity capabilities in efficient risk/ return framework• Structure investment solutions tailored to the specific risk-return requirements and investment guidelines of clients by utilising multiple sources of return - both alpha and beta - within or across asset classes• Efficiently monitor and manage these investment solutions against the client’s return objectives, risks and guidelines

Jan 2007 - Jan 2008

Vp, Head Of Model Development

Abn Amro Asset Management N.V.

• Responsible for the development, delivery and maintenance of all models and systems used to manage and support the quantitative approach of all the products and services provided by Structured Asset Management. Those include all the trade generating and simulation models, asset liability advisory tools, supporting systems like front office administrations and performance attribution. The models and tools have been implemented using different modelling environments (amongst others C++, AIMMS, OX, VBA) as well as MS Access and Oracle databases.• Task and personnel management for a group of 5 specialists

Jul 2000 - Jun 2005

Quantitative Analist

Over the period 1992 - 2000 I’ve held a number of different positions and responsibilities within the Investment Industry, including:1) 3 years of experience as business analyst develop a global, near-time risk management system for the Investment Banking division of ABN AMRO Bank N.V. The last year I have been head of the Risk Engine Analysis and Unit testing team responsible to complete the analysis and unit testing of the risk calculation engine within the overall system. 2) 1.5 years of experience as derivatives researcher, within the Market Risk Modelling & Product approval group of ABN AMRO N.V. This group validates the risk modelling and implementation into risk systems of new products to be traded or new risk management systems to be used within the ABN AMRO group. 3) 4 years of experience as developer of financial-economic models to support the sell-side research activities within Investment Banking (Designer economic models, MeesPierson N.V.)

Jul 1992 - Jun 2000
Team & coworkers

Colleagues at BNP Paribas Investment Partners

Other employees you can reach at bnpparibas-am.com. View company contacts for 2853 employees →

1 education record

Marcel Dubbeld education

FAQ

Frequently asked questions about Marcel Dubbeld

Quick answers generated from the profile data available on this page.

What company does Marcel Dubbeld work for?

Marcel Dubbeld works for BNP Paribas Investment Partners.

What is Marcel Dubbeld's role at BNP Paribas Investment Partners?

Marcel Dubbeld is listed as Head of Risk and Systems, LDI and Fiduciary Management at BNP Paribas Investment Partners.

What is Marcel Dubbeld's email address?

AeroLeads has found 1 work email signal at @bnpparibas.com for Marcel Dubbeld at BNP Paribas Investment Partners.

Where is Marcel Dubbeld based?

Marcel Dubbeld is based in Purmerend, North Holland, Netherlands while working with BNP Paribas Investment Partners.

What companies has Marcel Dubbeld worked for?

Marcel Dubbeld has worked for Bnp Paribas Investment Partners, Fortis Investments Nv, Abn Amro Asset Management N.V., and Abn Amro Bank Nv.

Who are Marcel Dubbeld's colleagues at BNP Paribas Investment Partners?

Marcel Dubbeld's colleagues at BNP Paribas Investment Partners include Ana María López Prieto, Danny Ketels, Roger Miners, Laetitia Servais, and Fabien Benchetrit.

How can I contact Marcel Dubbeld?

You can use AeroLeads to view verified contact signals for Marcel Dubbeld at BNP Paribas Investment Partners, including work email, phone, and LinkedIn data when available.

What schools did Marcel Dubbeld attend?

Marcel Dubbeld holds Msc, Econometrics, With Distinction from Universiteit Van Amsterdam.

What skills is Marcel Dubbeld known for?

Marcel Dubbeld is listed with skills including Derivatives, Portfolio Management, Equities, Asset Managment, Asset Management, Financial Risk, Risk Management, and Alm.

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