Profil
Mr. Yee Kok Chan was previously employed as a Chief Financial Officer by Kenanga Investors Bhd.
and a Head-Finance & Administration by ING Funds Bhd.
Anciens postes connus de Andrew Chan
| Sociétés | Poste | Fin |
|---|---|---|
ING Funds Bhd.
ING Funds Bhd. Investment ManagersFinance IFB is an active investor. They use a GARP investment approach. The firm manages portfolios invested in equity, fixed-income, real estate and money-market instruments, through vehicles such as pure equity and fixed-income funds but also asset allocation funds and Shariah/Islamic funds. The firm uses fundamental analysis as the basis of their investment strategy. They combine top-down macroeconomic asset allocation and bottom-up fundamental stockpicking. They invest globally across strategies, sectors, regions and market caps with a geographic focus on Malaysian and Asian securities. | Directeur de Recherche - Fxd Inc | 08/06/2013 |
Kenanga Investors Bhd.
Kenanga Investors Bhd. Investment ManagersFinance KIB is an active, fundamental research based manager which employs a bottom-up stock picking approach to invest across asset classes. The firm specializes in the Asia-Pacific region, with core competency in Asian equities and absolute return strategies. They focus on capital preservation and define risk as the probability of not being able to achieve a return above the prevailing cash or target return. KIB constructs portfolios following an absolute return approach where the emphasis for performance comparison is less on a market-related benchmark and more on a relatively stable target such as cash returns or inflation rate, believing that in the long run, this approach will yield returns superior to the underlying market benchmark and with lower volatility. | Directeur Financier/CFO | - |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Sociétés liées
| Entreprise privées | 2 |
|---|---|
ING Funds Bhd.
ING Funds Bhd. Investment ManagersFinance IFB is an active investor. They use a GARP investment approach. The firm manages portfolios invested in equity, fixed-income, real estate and money-market instruments, through vehicles such as pure equity and fixed-income funds but also asset allocation funds and Shariah/Islamic funds. The firm uses fundamental analysis as the basis of their investment strategy. They combine top-down macroeconomic asset allocation and bottom-up fundamental stockpicking. They invest globally across strategies, sectors, regions and market caps with a geographic focus on Malaysian and Asian securities. | Finance |
Kenanga Investors Bhd.
Kenanga Investors Bhd. Investment ManagersFinance KIB is an active, fundamental research based manager which employs a bottom-up stock picking approach to invest across asset classes. The firm specializes in the Asia-Pacific region, with core competency in Asian equities and absolute return strategies. They focus on capital preservation and define risk as the probability of not being able to achieve a return above the prevailing cash or target return. KIB constructs portfolios following an absolute return approach where the emphasis for performance comparison is less on a market-related benchmark and more on a relatively stable target such as cash returns or inflation rate, believing that in the long run, this approach will yield returns superior to the underlying market benchmark and with lower volatility. | Finance |
















