Profil
Mr. Joran D.
Laird, CFA, is a Portfolio Specialist at T.
Rowe Price Hong Kong Ltd. He is a global fixed income portfolio specialist based in Hong Kong.
He has over 21 years of investment experience.
Mr. Laird was previously employed as a Portfolio Manager by AllianceBernstein Japan Ltd., by AllianceBernstein Australia Ltd., and a Vice President by AllianceBernstein LP.
He received his undergraduate degree from the University of Canterbury and a graduate degree from the University of Canterbury.
Anciens postes connus de Joran Dean Joseph Laird
| Sociétés | Poste | Fin |
|---|---|---|
T. Rowe Price Hong Kong Ltd.
T. Rowe Price Hong Kong Ltd. Investment ManagersFinance Price Hong Kong maintains multiple active management strategies in equity and fixed income asset classes. The firm uses a complex and multifaceted approach to investment analysis and asset management decisions. They utilize a bottom-up investment process to construct diversified portfolios, which aims to avoid uncompensated risk and to capture long-term sources of excess return. Their specialized fixed-income professionals seek to add value through individual security selection, sector rotation, yield curve, and duration management. | Portfolio Manager-Fixed Income | 01/02/2020 |
AllianceBernstein Australia Ltd.
AllianceBernstein Australia Ltd. Investment ManagersFinance ABAL is a research-driven, value-oriented manager which follows both a top-down and bottom-up investment process. The firm's investment services consist of equities, fixed-income, multi-asset and alternatives. The investment management team collectively determines preferred portfolio positions and constructs portfolios with securities that are fundamentally attractive and undervalued based on bottom-up credit research. Portfolio construction aims to consistently maintain portfolio risk positions by incorporating the best ideas generated from their research process. ABAL also uses in-house developed systems to implement and manage multiple risk positions across portfolios. | Portfolio Manager-Fixed Income | 01/09/2011 |
AllianceBernstein LP
AllianceBernstein LP Investment ManagersFinance AB is a research-driven investment adviser that is global in scope and client-centered in their approach. The firm’s global team of research professionals, whose disciplines include economics, fundamental equity, fixed income and quantitative research, gives them a competitive advantage in achieving investment success for their clients. Within these research disciplines, they also have investment professionals that focus on multi-asset, wealth management and alternative investment strategies. | Portfolio Manager-Fixed Income | 01/08/2009 |
AllianceBernstein Japan Ltd.
AllianceBernstein Japan Ltd. Investment ManagersFinance AB Japan is a research-oriented manager which follows a growth-and-value investment approach. The firm invests globally in equity and fixed-income with a focus on Japan, Asia and the US. Their investment process emphasizes bottom-up stock-picking based on in-house fundamental research, supplemented with quantitative analysis. AB Japan's fixed-income investment approach is top-down, based on a macroeconomic view as well as interest rate trend and yield curve analysis, supplemented with quantitative modeling. The investment process starts with global asset allocation and aims at exploiting market inefficiencies. | Portfolio Manager-Fixed Income | - |
Formation de Joran Dean Joseph Laird
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
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Sociétés liées
| Entreprise privées | 5 |
|---|---|
AllianceBernstein LP
AllianceBernstein LP Investment ManagersFinance AB is a research-driven investment adviser that is global in scope and client-centered in their approach. The firm’s global team of research professionals, whose disciplines include economics, fundamental equity, fixed income and quantitative research, gives them a competitive advantage in achieving investment success for their clients. Within these research disciplines, they also have investment professionals that focus on multi-asset, wealth management and alternative investment strategies. | Finance |
AllianceBernstein Australia Ltd.
AllianceBernstein Australia Ltd. Investment ManagersFinance ABAL is a research-driven, value-oriented manager which follows both a top-down and bottom-up investment process. The firm's investment services consist of equities, fixed-income, multi-asset and alternatives. The investment management team collectively determines preferred portfolio positions and constructs portfolios with securities that are fundamentally attractive and undervalued based on bottom-up credit research. Portfolio construction aims to consistently maintain portfolio risk positions by incorporating the best ideas generated from their research process. ABAL also uses in-house developed systems to implement and manage multiple risk positions across portfolios. | Finance |
AllianceBernstein Japan Ltd.
AllianceBernstein Japan Ltd. Investment ManagersFinance AB Japan is a research-oriented manager which follows a growth-and-value investment approach. The firm invests globally in equity and fixed-income with a focus on Japan, Asia and the US. Their investment process emphasizes bottom-up stock-picking based on in-house fundamental research, supplemented with quantitative analysis. AB Japan's fixed-income investment approach is top-down, based on a macroeconomic view as well as interest rate trend and yield curve analysis, supplemented with quantitative modeling. The investment process starts with global asset allocation and aims at exploiting market inefficiencies. | Finance |
University of Canterbury
University of Canterbury Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
T. Rowe Price Hong Kong Ltd.
T. Rowe Price Hong Kong Ltd. Investment ManagersFinance Price Hong Kong maintains multiple active management strategies in equity and fixed income asset classes. The firm uses a complex and multifaceted approach to investment analysis and asset management decisions. They utilize a bottom-up investment process to construct diversified portfolios, which aims to avoid uncompensated risk and to capture long-term sources of excess return. Their specialized fixed-income professionals seek to add value through individual security selection, sector rotation, yield curve, and duration management. | Finance |
















