Profil
Mr. Samuel Hoang is a Portfolio Manager at Eastspring Investments (Singapore) Ltd. He joined the firm in September 2011.
He is a Portfolio Manager of the Japan Equity focus team and is jointly responsible for the Japan ‘Conservative Value’ strategies.
Before joining the Japan team, he was the Lead Portfolio Manager for the Vietnam equity strategy and part of the Regional Asia focus team.
He has over 20 years of financial industry experience.
Prior to joining the firm, Mr. Hoang worked at Lion Global Investors as an Equity Analyst.
He holds an MBA from Waseda University, Japan and a Bachelor of Economics (Hons) from Foreign Trade University, Vietnam.
Postes actifs de Samuel Hoang
| Sociétés | Poste | Début |
|---|---|---|
Eastspring Investments (Singapore) Ltd.
Eastspring Investments (Singapore) Ltd. Investment ManagersFinance Eastspring Singapore is a research-driven, value-oriented manager which focuses primarily on Asia's equity and bond markets. The firm’s Equities team follows a valuation-based approach, and their Fixed Income team utilizes a disciplined, medium-term approach. Eastspring Singapore applies a top-down investment management approach in deriving its credit sector, duration and currency allocation strategy and decisions. This is necessarily combined with a thorough bottom-up credit selection process, based on research and analysis, to determine good value credit investments and avoid potential corporate default events. They conduct in-house research but also outsource some research from third-party analysts. | Gestionnaire de Portefeuille-Actions | 01/09/2011 |
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
Eastspring Investments (Singapore) Ltd.
Eastspring Investments (Singapore) Ltd. Investment ManagersFinance Eastspring Singapore is a research-driven, value-oriented manager which focuses primarily on Asia's equity and bond markets. The firm’s Equities team follows a valuation-based approach, and their Fixed Income team utilizes a disciplined, medium-term approach. Eastspring Singapore applies a top-down investment management approach in deriving its credit sector, duration and currency allocation strategy and decisions. This is necessarily combined with a thorough bottom-up credit selection process, based on research and analysis, to determine good value credit investments and avoid potential corporate default events. They conduct in-house research but also outsource some research from third-party analysts. | Finance |
















