Profil
Prior to joining Oaktree in May 2007, Mr. Wang was a Managing Director at Pangaea, where he was responsible for marketing and capital management.
Prior to that, he was a Senior Investment Officer at the New York State Common Retirement Fund.
Before that, he was a Managing Director at Clemente Capital, responsible for the greater China region.
Previous experience includes Merrill Lynch, Canada.
Mr. Wang has wealth of experience in the banking and securities industry, focusing on alternative investments, international institutions and pension funds, and business development in Asia.
Mr. Wang attended the University of Ottawa School of Business Administration and received a B.S.
degree from Changchun Institute of Science and Technology.
Anciens postes connus de Charlie Wang
| Sociétés | Poste | Fin |
|---|---|---|
Oaktree Capital Management LLC
Oaktree Capital Management LLC Investment ManagersFinance Oaktree Capital Management (OCM) focuses on investments in less efficient markets and alternative investments. The firm employs a proprietary, bottom-up investment approach. They use overall portfolio structuring as a defensive tool to help avoid dangerous concentration. The firm tends to invest in companies in the energy minerals, consumer non-durables and finance sectors. OCM invests globally across all market-caps and maintains a medium turnover rate. Their strategies include: convertibles, high yield bonds, private equity, real estate, distressed debt and emerging markets listed equities. OCM's bottom-up approach to investing in convertibles emphasizes identifying those which are likely to capture a high percentage of the appreciation of the stocks into which they are convertible while exposed to a lower percentage of any declines which may occur. The firm manages three convertibles strategies that focus on different regions and market sectors: US, international and high income. The firm's approach to high yield bond seeks the potential high yields offered by these bonds with as little risk as possible. Their high yield portfolios purchase only the debt of solvent US and Canadian corporations with a focus on senior, cash-paying securities and thorough diversification. OCM offers strategies that focus on US and European high yield bonds, as well as a high yield plus strategy, senior bank loans strategy, a European senior loans strategy and a mezzanine finance strategy. All of OCM's strategies employ fundamental credit analysis with a bias toward risk control. OCM's distressed debt investment approach seeks to combine the protection against loss that comes from buying claims on assets at bargain prices with the substantial gains achievable from returning companies to financial viability through restructuring. The firm offers two distressed debt strategies: distressed opportunities and value opportunities. The firm's private equity strategies combine a traditional private equity approach with a distress-for-control approach. The firm invests at any level of the capital structure and the use of leverage is limited. In addition to their main private equity strategy, OCM also manages strategies that focus on investments in Europe, Asia and power infrastructure. The firm makes opportunistic, bargain-oriented real estate investments with emphasis on smaller, less prominent transactions. They diversify investments thoroughly and limit the use of leverage. OCM targets a variety of global opportunities including direct property investments, corporate investments, undervalued debt, real estate-related equity securities and real estate development. Their real estate strategies emphasize risk control while focusing on the following areas: distress, inefficiency, value added and long-term growth. OCM believes that inefficiencies and price volatility in emerging markets provide opportunities to invest in misvalued securities. Their emerging markets strategy seeks opportunities in the Asia Pacific region, Latin America, Eastern Europe, the Middle East, Africa and Russia. OCM combines a bottom-up, value-driven approach with top-down risk management. The firm also employs a long/short investment strategy that seeks substantial absolute returns. | Analyst-Equity | 30/04/2007 |
Clemente Capital, Inc.
Clemente Capital, Inc. Investment ManagersFinance Clemente Capital is a global investor that specializes in investments in the Asian markets and in alternative investments that emphasize private equity and structured products. The firm employs a top-down, bottom-up, thematic-oriented investment approach that seeks to identify both growth companies and companies with undervalued stocks that are expected to appreciate as the result of changes in the global economy. Clemente Capital's research strives to understand the synergies between global currencies, industries and companies. Portfolios are long-term oriented, actively-managed, fully invested and well-diversified. The firm manages customized portfolios and efficient structured products. Through their Sinochem Global Energy Vision product, Clemente Capital seeks long-term capital appreciation by making direct investments in a diversified portfolio of unlisted companies in the energy sector. | Corporate Officer/Principal | - |
Oaktree Capital Management LP
Oaktree Capital Management LP Investment ManagersFinance Oaktree manages assets across a wide range of investment strategies within four asset classes: Credit, Private Equity, Real Assets, and Listed Equities. The firm employs a bottom-up, fundamental approach to investing. | Analyst-Equity | - |
Formation de Charlie Wang
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 4 |
|---|---|
Oaktree Capital Management LLC
Oaktree Capital Management LLC Investment ManagersFinance Oaktree Capital Management (OCM) focuses on investments in less efficient markets and alternative investments. The firm employs a proprietary, bottom-up investment approach. They use overall portfolio structuring as a defensive tool to help avoid dangerous concentration. The firm tends to invest in companies in the energy minerals, consumer non-durables and finance sectors. OCM invests globally across all market-caps and maintains a medium turnover rate. Their strategies include: convertibles, high yield bonds, private equity, real estate, distressed debt and emerging markets listed equities. OCM's bottom-up approach to investing in convertibles emphasizes identifying those which are likely to capture a high percentage of the appreciation of the stocks into which they are convertible while exposed to a lower percentage of any declines which may occur. The firm manages three convertibles strategies that focus on different regions and market sectors: US, international and high income. The firm's approach to high yield bond seeks the potential high yields offered by these bonds with as little risk as possible. Their high yield portfolios purchase only the debt of solvent US and Canadian corporations with a focus on senior, cash-paying securities and thorough diversification. OCM offers strategies that focus on US and European high yield bonds, as well as a high yield plus strategy, senior bank loans strategy, a European senior loans strategy and a mezzanine finance strategy. All of OCM's strategies employ fundamental credit analysis with a bias toward risk control. OCM's distressed debt investment approach seeks to combine the protection against loss that comes from buying claims on assets at bargain prices with the substantial gains achievable from returning companies to financial viability through restructuring. The firm offers two distressed debt strategies: distressed opportunities and value opportunities. The firm's private equity strategies combine a traditional private equity approach with a distress-for-control approach. The firm invests at any level of the capital structure and the use of leverage is limited. In addition to their main private equity strategy, OCM also manages strategies that focus on investments in Europe, Asia and power infrastructure. The firm makes opportunistic, bargain-oriented real estate investments with emphasis on smaller, less prominent transactions. They diversify investments thoroughly and limit the use of leverage. OCM targets a variety of global opportunities including direct property investments, corporate investments, undervalued debt, real estate-related equity securities and real estate development. Their real estate strategies emphasize risk control while focusing on the following areas: distress, inefficiency, value added and long-term growth. OCM believes that inefficiencies and price volatility in emerging markets provide opportunities to invest in misvalued securities. Their emerging markets strategy seeks opportunities in the Asia Pacific region, Latin America, Eastern Europe, the Middle East, Africa and Russia. OCM combines a bottom-up, value-driven approach with top-down risk management. The firm also employs a long/short investment strategy that seeks substantial absolute returns. | Finance |
Clemente Capital, Inc.
Clemente Capital, Inc. Investment ManagersFinance Clemente Capital is a global investor that specializes in investments in the Asian markets and in alternative investments that emphasize private equity and structured products. The firm employs a top-down, bottom-up, thematic-oriented investment approach that seeks to identify both growth companies and companies with undervalued stocks that are expected to appreciate as the result of changes in the global economy. Clemente Capital's research strives to understand the synergies between global currencies, industries and companies. Portfolios are long-term oriented, actively-managed, fully invested and well-diversified. The firm manages customized portfolios and efficient structured products. Through their Sinochem Global Energy Vision product, Clemente Capital seeks long-term capital appreciation by making direct investments in a diversified portfolio of unlisted companies in the energy sector. | Finance |
University of Ottawa
University of Ottawa Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Oaktree Capital Management LP
Oaktree Capital Management LP Investment ManagersFinance Oaktree manages assets across a wide range of investment strategies within four asset classes: Credit, Private Equity, Real Assets, and Listed Equities. The firm employs a bottom-up, fundamental approach to investing. | Finance |
















