Profil
Mr. Chang Qi Ong is a Fund Manager at JPMorgan Asset Management (Singapore) Ltd. He is a Vice President and is a country specialist for Indonesia, Philippines and Vietnam equities and a member of the ASEAN team within the Emerging Markets and Asia Pacific (EMAP) Equities team.
Mr. Ong joined JPMorgan Asset Management in 2011 from Temasek Holdings.
He spent his first year with Temasek in the private equity space focusing on infrastructure and industrial sectors in Asia before being seconded to Seatown Holdings, a multi-asset investment holding company wholly-owned by Temasek.
As an Investment Analyst, he spent two years evaluating investment opportunities across asset classes including equities, credit and distressed debt.
Mr. Ong obtained a B.Sc.
in Economics (summa cum laude) from Singapore Management University.
Postes actifs de Chang Qi Ong
| Sociétés | Poste | Début |
|---|---|---|
JPMorgan Asset Management (Singapore) Ltd.
JPMorgan Asset Management (Singapore) Ltd. Investment ManagersFinance JPMAMS is an active, research-based manager which utilizes global fundamental research, applying quantitative valuation tools and bottom-up methods to construct portfolios. Investment decisions are based on micro-valuation insights. Their investment decisions are team-based wherein the portfolio manager typically purchases first and second quintile stocks while underweighting third, fourth and fifth quintile stocks. They diversify portfolios across sectors or regions, investing in a variety of asset classes including equities, fixed-income and alternative investments. The firm also specializes in liquidity management, investing in global and Asian money market securities particularly in USD, GBP, EUR, RMB, JPY and SGD. | Gestionnaire de Portefeuille-Actions | 01/10/2011 |
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Sociétés liées
| Entreprise privées | 1 |
|---|---|
JPMorgan Asset Management (Singapore) Ltd.
JPMorgan Asset Management (Singapore) Ltd. Investment ManagersFinance JPMAMS is an active, research-based manager which utilizes global fundamental research, applying quantitative valuation tools and bottom-up methods to construct portfolios. Investment decisions are based on micro-valuation insights. Their investment decisions are team-based wherein the portfolio manager typically purchases first and second quintile stocks while underweighting third, fourth and fifth quintile stocks. They diversify portfolios across sectors or regions, investing in a variety of asset classes including equities, fixed-income and alternative investments. The firm also specializes in liquidity management, investing in global and Asian money market securities particularly in USD, GBP, EUR, RMB, JPY and SGD. | Finance |
















