Profil
Ms. Jenny Wan is an Assistant Vice President & Portfolio Manager at Mackenzie Financial Corp.
She oversees fixed-income portfolio management and bond analytics across a variety of Canadian investment-grade portfolios.
Ms. Wan was employed as a Fixed Income Trader by Laketon Investment Management and a Manager of Fixed Income by Portico Investment Management.
She received her undergraduate degree from The University of Waterloo.
Postes actifs de Jenny Wan
| Sociétés | Poste | Début |
|---|---|---|
Mackenzie Financial Corp.
Mackenzie Financial Corp. Investment ManagersFinance Mackenzie Investments uses different methods of analysis depending on the account's mandate including fundamental analysis, technical analysis, cyclical investing and charting. They offer a wide range of investment strategies including Canadian and global growth and value strategies across all market-caps, a Canadian Bond strategy, a North American large-cap growth strategy, Canadian balanced large-cap, large-cap growth and all-cap value strategies, and Canadian and global resources strategies. The majority of their US and non-North American equity investments are run by outside money managers. | Portfolio Manager-Fixed Income | 01/01/2021 |
Anciens postes connus de Jenny Wan
| Sociétés | Poste | Fin |
|---|---|---|
Portico Investment Management
Portico Investment Management Investment ManagersFinance Portico employs a consistent, measured and disciplined investment approach that integrates fundamental, quantitative and technical analysis to add value while managing risk. The firm uses a multi-factor approach to analyzing interest rates, credit markets and yield curves. They take an iterative approach to portfolio construction by continuously modelling the effects of economic conditions, market flows, credit fundamentals, investor sentiment and external factors. Portico also uses proprietary tools to ensure a measured approach to sector allocation, duration and yield curve positioning of a portfolio. | Analyst-Fixed Income | 01/01/2021 |
Laketon Investment Management
Laketon Investment Management Investment ManagersFinance Laketon Investment Management is a bottom-up, large-cap, growth manager. With an emphasis on concentrated equity portfolios, the firm seeks out high-quality companies with strong growth prospects by applying a bottom-up investment approach that includes both quantitative and qualitative inputs. Laketon's active investment style focuses on high quality Canadian equities and is designed to create the appropriate balance between positive return generation in up markets and capital preservation in down markets. The firm's investment mandates tend to hold companies with these characteristics: large-cap bias; sustainable profitability; proven management teams; attractive history of return on capital; and strong free cash flow. Portfolios are well-diversified and are fully invested in a concentrated portfolio of 30 to 45 holdings. Laketon employs a responsive sell discipline that incorporates both tactical and fundamental buy/sell strategies. | Trading-Fixed Income | - |
Formation de Jenny Wan
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
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Relations au 1er degré
Entreprises liées au 1er degré
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Femme
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Sociétés liées
| Entreprise privées | 4 |
|---|---|
Mackenzie Financial Corp.
Mackenzie Financial Corp. Investment ManagersFinance Mackenzie Investments uses different methods of analysis depending on the account's mandate including fundamental analysis, technical analysis, cyclical investing and charting. They offer a wide range of investment strategies including Canadian and global growth and value strategies across all market-caps, a Canadian Bond strategy, a North American large-cap growth strategy, Canadian balanced large-cap, large-cap growth and all-cap value strategies, and Canadian and global resources strategies. The majority of their US and non-North American equity investments are run by outside money managers. | Finance |
Laketon Investment Management
Laketon Investment Management Investment ManagersFinance Laketon Investment Management is a bottom-up, large-cap, growth manager. With an emphasis on concentrated equity portfolios, the firm seeks out high-quality companies with strong growth prospects by applying a bottom-up investment approach that includes both quantitative and qualitative inputs. Laketon's active investment style focuses on high quality Canadian equities and is designed to create the appropriate balance between positive return generation in up markets and capital preservation in down markets. The firm's investment mandates tend to hold companies with these characteristics: large-cap bias; sustainable profitability; proven management teams; attractive history of return on capital; and strong free cash flow. Portfolios are well-diversified and are fully invested in a concentrated portfolio of 30 to 45 holdings. Laketon employs a responsive sell discipline that incorporates both tactical and fundamental buy/sell strategies. | Finance |
The University of Waterloo
The University of Waterloo Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Portico Investment Management
Portico Investment Management Investment ManagersFinance Portico employs a consistent, measured and disciplined investment approach that integrates fundamental, quantitative and technical analysis to add value while managing risk. The firm uses a multi-factor approach to analyzing interest rates, credit markets and yield curves. They take an iterative approach to portfolio construction by continuously modelling the effects of economic conditions, market flows, credit fundamentals, investor sentiment and external factors. Portico also uses proprietary tools to ensure a measured approach to sector allocation, duration and yield curve positioning of a portfolio. | Finance |
















