Profil
Mr. Greg Baker has worked in Asian equity and derivative markets since 1985.
He started his career with Deutsche Bank in Australia, as an equity and equity derivative analyst.
There he worked with Steve Diggle, one of the firm’s founders.
In 1994, he joined Kleinwort Benson in Hong Kong, as a convertible bond and equity derivative analyst covering Asian markets.
In 1996, he worked at Daiwa Securities in Hong Kong as a convertible bond analyst and then moved to the firm’s proprietary trading desk.
From 1999 to 2003 he worked at LIM Advisors in Hong Kong as Director and was head trader for the LIM Asia Arbitrage Fund.
Before joining Artradis Fund Management, Mr. Baker worked at Pioneer Alternative Investment Management in Dublin, Ireland as a portfolio manager for their global convertible arbitrage fund.
He holds a Bachelor of Business degree from The University of Technology, Sydney
Anciens postes connus de Greg A. Baker
| Sociétés | Poste | Fin |
|---|---|---|
Artradis Fund Management Pte Ltd.
Artradis Fund Management Pte Ltd. Investment ManagersFinance AFM is a value-oriented investor with a primary focus on Asian markets including Japan and more recently Russia. The firm, an absolute return specialist, aims to produce positive non-correlated returns by using alternative strategies such as long/short, net long, net short, market neutral and multiple equity arbitrage. Their investment approach is research-driven and aims to identify financial arbitrage opportunities and market inefficiencies including special situations, which they can aggressively take advantage of through a combination of risk management trading and the use of derivatives. | Trading-Equity | 01/08/2009 |
Pioneer Alternative Investment Management Ltd.
Pioneer Alternative Investment Management Ltd. Investment ManagersFinance PAI is a value-oriented manager which invests through their funds in global and European equity, aiming to exploit valuation anomalies and achieve consistent, absolute returns that are uncorrelated to global equity and bond markets. They specialize in long/short equity, pairs trading, and opportunistic strategies and employ real-time risk management tools to monitor risk. The firm has no market cap restrictions and manages a European fund focused primarily on mid- and large-cap stocks and is predominately market neutral. They regularly stress test portfolios to ensure that their funds can withstand unexpected events. PAI conducts in-house research utilizing proprietary quantitative valuation models and historical databases to seek out investment opportunities globally. The holding period for a position or stock varies from several weeks to one year. Once the target price of a stock is reached, they liquidate all positions in that stock. | Portfolio Manager-Fixed Income | 30/09/2004 |
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| Entreprise privées | 2 |
|---|---|
Pioneer Alternative Investment Management Ltd.
Pioneer Alternative Investment Management Ltd. Investment ManagersFinance PAI is a value-oriented manager which invests through their funds in global and European equity, aiming to exploit valuation anomalies and achieve consistent, absolute returns that are uncorrelated to global equity and bond markets. They specialize in long/short equity, pairs trading, and opportunistic strategies and employ real-time risk management tools to monitor risk. The firm has no market cap restrictions and manages a European fund focused primarily on mid- and large-cap stocks and is predominately market neutral. They regularly stress test portfolios to ensure that their funds can withstand unexpected events. PAI conducts in-house research utilizing proprietary quantitative valuation models and historical databases to seek out investment opportunities globally. The holding period for a position or stock varies from several weeks to one year. Once the target price of a stock is reached, they liquidate all positions in that stock. | Finance |
Artradis Fund Management Pte Ltd.
Artradis Fund Management Pte Ltd. Investment ManagersFinance AFM is a value-oriented investor with a primary focus on Asian markets including Japan and more recently Russia. The firm, an absolute return specialist, aims to produce positive non-correlated returns by using alternative strategies such as long/short, net long, net short, market neutral and multiple equity arbitrage. Their investment approach is research-driven and aims to identify financial arbitrage opportunities and market inefficiencies including special situations, which they can aggressively take advantage of through a combination of risk management trading and the use of derivatives. | Finance |
















