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Investor Calendar

Oct 4, 2012 | Quarterly Market Update

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Summer Rally Defies Pessimism as Bulls Stampede into Labor Day

Executives

Martin Jansen , Portfolio Manager
Martin Jansen is Portfolio Manager of the ING International Value strategy as well as a Portfolio Manager for the Infrastructure, Industrials and Materials Fund and the International High Dividend Income strategies. Previously, he was responsible for managing the transition of the U.S. equity trading facility and U.S. equity assets from ING Investment Management in The Hague to ING Aeltus. He joined ING in 1997 as Senior Manager to co-manage U.S. equity portfolios and was named head of the U.S. equity team in 1999. Prior to joining ING, Martin was responsible for the U.S. equity and venture capital portfolios at a large corporate Dutch pension fund. He received a Bachelor of Commerce and M.B.A. from the University of the Witwatersrand, South Africa.
Brian Madonick , Portfolio Manager
Brian Madonick is a Senior Analyst covering the industrials sector. Brian also serves as a Portfolio Manager for the ING Infrastructure Development Fund. Prior to joining ING U.S. Investment Management in 2004, Brian spent four years as the industrials analyst at U.S. Trust. Prior to that, he was a senior analyst at Bear Stearns covering aerospace and defense for the #1 ranked team per Institutional Investor magazine. Brian received a B.A. from Binghamton University.
Frank van Etten , Portfolio Manager
Frank is the Deputy Head of the Multi-Asset Strategies and Solutions (MASS) team. In this role, he manages the research and investment teams that design and implement investment products and solutions with asset allocation, manager selection and/or structured investment components. Frank also drives product development and business management. He joined ING Investment Management in Europe in 2002 on the Structured Investment Strategies team, where he initially carried out research in equity derivatives markets. Subsequently, as a portfolio manager, he oversaw two investment teams that managed a range of liability-driven investment solutions, structured funds and alternative investments and executed hedging programs and derivatives trading. Frank obtained his master’s degree in econometrics from Tilburg University in the Netherlands, specializing in quantitative finance.
Paul Zemsky, CFA , Portfolio Manager
Paul Zemsky is the Chief Investment Officer, Multi-Asset Strategies with responsibility for traditional and alternative investment solutions. Under his leadership, traditional funds are supported by asset allocation, manager research, and multi-manager capabilities. Within alternatives, fund-of-funds and private equity report to Paul. His team has capabilities in derivatives/financial engineering, risk management, portable alpha, asset allocation, liability modeling and pension accounting, and multi-manager portfolio structuring. Paul joined ING U.S. Investment Management in 2005 as Head of Derivative Strategies. In this role, he oversaw derivative strategies for credit, interest rate, and equity products, and supported the organization on a number of key areas, including product development and risk management for both proprietary and third-party businesses. Paul spent 18 years at JPMorgan Investment Management, where he held a number of key positions, including Head of Investments for over $300 Billion of Fixed Income assets. He was one of the first on Wall Street to identify the potential for portable alpha strategies and liability targeted portfolios. Prior to his role at ING, he co-founded CaliberOne Private Funds Management, a macro hedge fund. He holds a dual degree in finance and electrical engineering from the Management and Technology Program at the University of Pennsylvania and holds the Chartered Financial Analyst® designation.
Joseph Vultaggio , Portfolio Manager
Joseph Vultaggio is a Senior Analyst covering the industrials sector. Joseph also serves as a Portfolio Manager for the ING International Value strategy and the Infrastructure, Industrials and Materials Fund. Prior to joining ING U.S. Investment Management in 1994, he received a B.S. degree in finance from Trenton State College and M.B.A. in Finance at Rutgers Graduate School of Management.

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