Profil
Mr. Hiroshi Noriishi is General Manager at Daiwa Asset Management Co. Ltd.
He joined the company as a General Manager of Fund Management Division in April 2008.
He graduated from Yokohama National University in March 1980 and started his career with Daiwa Securities Co. Ltd where he was posted to the Overseas Advisory Department and subsequently transferred to Hong Kong branch.
He joined Daiwa SB Investments Ltd. in July 1991 and was appointed as General Manager of Investment Research Department in June 2004.
He received his MBA degree from University of Chicago, Booth School of Business in June 1989, and is also a CFA Charter holder since 1990.
Anciens postes connus de Hiroshi Noriishi
| Sociétés | Poste | Fin |
|---|---|---|
Daiwa Asset Management Co. Ltd.
Daiwa Asset Management Co. Ltd. Investment ManagersFinance Daiwa Asset Management conducts in-house research and has a strong global research network. Their investment management philosophy is based on a mid-to-long-term perspective in which they try to identify hidden values which are not yet fully recognized in the market. The firm takes a balanced approach emphasizing both fundamental and quantitative analysis. They pursue stable excess mid-to long-term returns through suitable risk control, which they separate from investment management to ensure that the risk control system adequately monitors their investment process. Daiwa Asset Management’s research team analysts and portfolio managers discuss, evaluate and communicate market events and investment opinions, seeking to maximize portfolio performance. Company visits are important components of their bottom-up research process and are a primary source for their fundamental analysis. | Corporate Officer/Principal | - |
Daiwa SB Investments Ltd.
Daiwa SB Investments Ltd. MiscellaneousMiscellaneous Daiwa SB Investments is an active, value-oriented manager which aims to provide stable, maximum above benchmark returns over the medium-to-long term by taking advantage of market inefficiencies of investments in equity securities. The firm seeks to analyze fundamentals from a global perspective, investing actively through a well defined and structured process, maintaining a consistent investment style and conducting comprehensive risk management. For investments in the Japanese markets, Daiwa SB Investments employs a bottom-up approach with a top-down overlay and aim to add value primarily through a mix of stock selection and sector allocation. | Directeur de la Recherche - Actions | - |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Sociétés liées
| Entreprise privées | 2 |
|---|---|
Daiwa SB Investments Ltd.
Daiwa SB Investments Ltd. MiscellaneousMiscellaneous Daiwa SB Investments is an active, value-oriented manager which aims to provide stable, maximum above benchmark returns over the medium-to-long term by taking advantage of market inefficiencies of investments in equity securities. The firm seeks to analyze fundamentals from a global perspective, investing actively through a well defined and structured process, maintaining a consistent investment style and conducting comprehensive risk management. For investments in the Japanese markets, Daiwa SB Investments employs a bottom-up approach with a top-down overlay and aim to add value primarily through a mix of stock selection and sector allocation. | Miscellaneous |
Daiwa Asset Management Co. Ltd.
Daiwa Asset Management Co. Ltd. Investment ManagersFinance Daiwa Asset Management conducts in-house research and has a strong global research network. Their investment management philosophy is based on a mid-to-long-term perspective in which they try to identify hidden values which are not yet fully recognized in the market. The firm takes a balanced approach emphasizing both fundamental and quantitative analysis. They pursue stable excess mid-to long-term returns through suitable risk control, which they separate from investment management to ensure that the risk control system adequately monitors their investment process. Daiwa Asset Management’s research team analysts and portfolio managers discuss, evaluate and communicate market events and investment opinions, seeking to maximize portfolio performance. Company visits are important components of their bottom-up research process and are a primary source for their fundamental analysis. | Finance |
















