24 Jul 2026
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Kevin Bakker

Kevin Bakker, CFA, is co-head of US high yield and a senior portfolio manager responsible for US and global high yield portfolio management at Aegon Asset Management. Prior to his current role, he was a public fixed income research analyst covering high yield and investment grade corporate securities. Prior to joining the firm, Kevin was employed by Archer Daniels Midland in various roles within their commodities trading division.  He has been in the industry since and started with the firm in 2003. Kevin received his BA from Loras College and his MBA from the University of Iowa. He is a CFA® charterholder.

Featured

Opinion

Aegon Asset Management Insight

High Yield: The Valuations Conundrum

By Kevin Bakker
  • Aegon ...
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Opinion

Aegon Asset Management

High yield fundamentals: weathering a slowdown

By Kevin Bakker
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