Pension Fund

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Hagee Stichting

Hagee Stichting operates as a Dutch pension fund serving employees of Technische Unie, Otra, and Van Egmond. It delivers partner and orphan pensions alongside...

Hagee Stichting logo

Hagee Stichting

Hagee Stichting operates as a Dutch pension fund serving employees of Technische Unie, Otra, and Van Egmond. It delivers partner and orphan pensions alongside standard retirement benefits. The fund holds a European Real Estate Fund Portfolio valued at approximately 32 million USD and a Fixed Income Portfolio of 350 million USD managed by BlackRock. It also maintains a Western Europe Private Equity Portfolio as a limited partner and equity exposure through BlackRock institutional vehicles valued at 220 million USD. Geographic focus centers on the Netherlands and broader Western Europe. BlackRock acts as fiduciary manager and investment advisor. CACEIS serves as custodian while TKP Pensioen handles administration and Sprenkels provides actuarial services. The fund belongs to Pensioenfederatie, the Dutch Federation of Pension Funds. Sponsoring employers Technische Unie, Otra, and Van Egmond sit under parent Sonepar Nederland, creating a direct link between operating companies and the pension vehicle.

General information

Firm type

Pension Fund

Location

Region

Europe

Country

Netherlands

City

Amstelveen

Corporate office

Bovenkerkerweg 10-12, Amstelveen, Netherlands

Sector focus

Real EstateFixed IncomePrivate Equity

Frequently asked questions

Who are the sponsoring employers behind Hagee Pension Fund?

Technische Unie, Otra, and Van Egmond sponsor the fund. These entities fall under parent Sonepar Nederland.

Which external managers handle assets for Hagee Pension Fund?

BlackRock serves as fiduciary manager and advisor for the fixed income and equity portfolios.

What asset classes appear in the Hagee Pension Fund portfolio?

Holdings include European real estate funds, fixed income, private equity in Western Europe, and global equity exposure.

Does Hagee Pension Fund maintain a responsible investment policy?

The fund applies a Responsible Investment policy that integrates sustainability criteria and exclusions.

Profile maintained by using OSINT (open-source intelligence), regulatory filings, licensed data partners, and verified direct submissions. Read the methodology. Last updated: . Continuous refresh with full update cycles at least every 30 days.

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