선호 종목, 경제 이벤트, 팔로우하는 저자들의 글 업데이트를 받으시려면 회원가입을 해주세요.
무료 회원가입 이미 계정이 있으세요? 로그인
종목명 | 헤드라인 | 재직 시작연도 | 기간 |
---|---|---|---|
Kenglin Tan | - | 2019 | now |
전기 | Kenglin is a managing director and a senior portfolio manager with the equities team. Based in Hong Kong, she is primarily responsible for analyzing and selecting stocks for the firm’s Asia Pacific ex-Japan, and the ASEAN portfolios. She also works closely with other portfolio managers covering markets in the North Asia region. Having worked in the industry since 2000, Kenglin has buy- and sell-side equity analyst experience. Prior to joining Manulife Investment Management she worked for JS Cresvale International (Hong Kong) and Pheim Asset Management. | ||
Juliana Hansveden | Portfolio Manager | 2018 | 2019 |
전기 | Juliana is a portfolio manager in the Sustainable Equity team at Ninety One and is responsible for the Emerging Markets Sustainable Equity strategy. Prior to joining the firm, Juliana was the lead portfolio manager of the multi-billion euro Emerging Stars and the Asian Stars equity strategies at Nordea Asset Management. Before this Juliana held roles with First Swedish National Pension Fund (AP1) as a global equity analyst and assistant portfolio manager, and at BlackRock analysing European equities before becoming an associate and covering Asia ex-Japan equities in the Global Emerging Markets Equity team. Juliana has a Master of Science in Economics & Business from Stockholm School of Economics and has also studied at Ecole des Hautes Etudes Commerciales de Paris (HEC Paris). She is a CFA® Charterholder. | ||
Juliana Hansveden | Portfolio Manager | 2018 | 2019 |
전기 | Juliana is a portfolio manager in the Sustainable Equity team at Ninety One and is responsible for the Emerging Markets Sustainable Equity strategy. Prior to joining the firm, Juliana was the lead portfolio manager of the multi-billion euro Emerging Stars and the Asian Stars equity strategies at Nordea Asset Management. Before this Juliana held roles with First Swedish National Pension Fund (AP1) as a global equity analyst and assistant portfolio manager, and at BlackRock analysing European equities before becoming an associate and covering Asia ex-Japan equities in the Global Emerging Markets Equity team. Juliana has a Master of Science in Economics & Business from Stockholm School of Economics and has also studied at Ecole des Hautes Etudes Commerciales de Paris (HEC Paris). She is a CFA® Charterholder. | ||
Emily Leveille | Portfolio Manager & Managing Director | 2018 | 2019 |
전기 | Emily Leveille is a portfolio manager for Thornburg Investment Management. She joined the firm in 2021. Prior to Thornburg, Emily was with Nordea Asset Management in Copenhagen, Denmark, where she was a portfolio manager for emerging market growth strategies after initially joining as an analyst responsible for investments in Latin America. Before Nordea, Emily was an analyst with Ashmore Group (Emerging Markets Management) in Washington, DC, and she also worked as a consultant advising multinational corporations in Latin America. Emily holds a BA in politics from New York University and is a CFA charterholder. | ||
Jorry Rask Nøddekær | - | 2013 | 2018 |
전기 | Joined Polar Capital in June 2018. Prior to joining Polar Capital, Jorry worked at various firms including Nordea Investment Management, Danske Capital, F&C Investment Management, New Star Asset Management and BankInvest Asset Management. Jorry studied at Aarhus University in Denmark where he gained an MSc in economics and finance. | ||
Lee Chiow Wei | - | 2011 | 2013 |
전기 | Mr. Lee joined Tokio Marine Asset Management International Pte. in January 2005 as Senior Portfolio Manager with responsibility for the Taiwan and Korean markets. In July 2008, he started researching China and Hong Kong markets as secondary coverage. Since January 2010, he participated in asset allocation and overseeing all investment products as back-up to TMAIs Chief Investment Officer (CIO). He has been promoted to CIO with effect from 1 April 2011. Prior to joining TMAI, Mr. Lee was Senior Portfolio Manager at UOB Asset Management. He was a key member of the Asian equity team that managed the award-winning United Asia Fund. Mr. Lee spent 10 years with UOB Asset Management on Asian equities research and portfolio management. He graduated from Nanyang Technological University of Singapore and received a Bachelors Degree in Accounting. Mr. Chiow Wei is a CFA charter holder. | ||
Not Disclosed | - | 2009 | 2013 |
Hiroshi Yoh | - | 2009 | 2011 |
전기 | Hiroshi Yoh is Executive Vice President and Co-Portfolio Manager. He is also Portfolio Manager of other Janus accounts. Mr. Yoh joined Janus Capital in April 2011. Prior to joining Janus Capital, Mr. Yoh was the Chief Investment Officer and a portfolio manager with Tokio Marine Asset Management International Pte. Ltd., a Singapore-based asset management firm from 1999 to 2011. Mr. Yoh holds a Master of Economics degree from the Graduate School of Business Administration and Political Sciences of Tsukuba University, and is a Professional Chartered Member of the Security Analysts Association of Japan. He has also completed the Harvard Advanced Management Program. | ||
Jacqueline Chen | gestionaire | 1999 | 2009 |
전기 | Jacqueline Chen was born in Malaysia. She studied in London School of Economics. She manages investments of Far-East since 1984, date on which she turns over to Malaysia to join Burniptura Merchant Bankers of Rothschild Malaysia. In 1989, she integrated World Invest Ltd in London to create the Far East department. She joined Unibank Luxembourg in March 1999 as a gestionaire of Far Eastern Value Fund of Frontrunner I, aujourdhui Nordea 1. |
%USER_NAME%(을)를 정말로 차단하시겠습니까?
그렇게 하면, 귀하와 %USER_NAME%(은)는 서로의 Investing.com 게시물을 볼 수 없습니다.
%USER_NAME%(은)는 차단 명단에 추가되었습니다.
방금 이 사람을 차단해제하였으므로 48시간 이후에 차단을 재개할 수 있습니다.
나는 이 의견이 다음과 같다고 생각합니다:
감사합니다!
귀하의 보고는 검토를 위해 조정자에게 보내졌습니다.