Martijn van Rooijen
Consultant
1101 BR, NL
Martijn Rooijen is a consultant in the Amsterdam office of Milliman. He specializes in life and financial risk management consulting with a focus on ALM and financial modelling.
Experience
Martijn joined Milliman in 2019 and has 12 years of experience in the industry.
Prior to joining Milliman, Martijn has worked at ABN AMRO Bank for eight years. He joined as a Management Trainee and subsequently worked on Asset & Liability Management and as a senior market risk manager.
Martijn specializes in financial risk management, ALM, and Solvency II. He has extensive experience with modelling and valuation of complex financial products such as savings and mortgages.
Within Milliman, he has worked on a variety of topics, including:
- Conducting financial modelling, including economic capital models for various market risk, and creating valuation models for complex products such as mortgages and reinsurance
- Assessing the impact of regulatory changes and Solvency II treatment of various complex structures, alternative investments, and custom reinsurance contracts
- Working on a broad range of risk management topics, including assessing regulatory compliance, risk reporting, hedging strategies for market risks and the FRM function
- Providing actuarial support on various tasks, including the review of the ORSA and parameter setting
- Supporting a large Dutch insurer with the IFRS 17 implementation
- Providing strategic support, including setting up capital generation performance metrics, defining investment assumptions for alternative assets, and being involved in M&A advisory
Education
- MSc. in Econometrics & Management Science, specialisation Quantitative Finance (cum laude), Erasmus Universiteit Rotterdam
Publications
Read their latest work
Article
Extreme weather events in Europe for 2022 and beyond
14 March 2023 - by Tarik Aouragh, Niccolò Basetti Sani Vettori, Mohamed Benkhalfa, Christoph Krischanitz, Ian Penfold, Eugenio Portales, Antoine Rainaud, Giuseppe Semeraro, Anandi Shah, José Silveiro, Martijn van Rooijen, Menno van Wijk
Our annual report highlights the specific toll on the insurance industry, which faced a record number of claims and higher repair costs amid rising inflation.
Article
Interim score of the Solvency II reforms
17 August 2022 - by Joost Broens, Daphne Rappange, Martijn van Rooijen, Maarten Ruissaard
This briefing note shares legislative procedures and suggested reforms of the Solvency II 2020 review.
Article
Mind the gap between insurers and banks: How different perspectives on risk and return can lead to possible investment opportunities
09 November 2020 - by Martijn van Rooijen, Maarten Ruissaard, Kendall Carolissen
This paper aims to provide a comparison of capital treatments for different asset classes with the focus limited to European commercial banks and life insurers.