Profil
Dr. Danny Lo is a Research Director at Vinva Investment Management Ltd. He is responsible for driving innovation in equity security selection models, risk and transaction cost modelling, portfolio construction, ESG integration, and other aspects of the investment process.
Before joining Vinva, Mr. Lo spent two years in London working as a Portfolio Manager in the fixed income team, managing Macquarie’s global sovereign fixed income funds.
Prior to this, he worked as a Quantitative Research Analyst at Macquarie, responsible for all facets of research, including the development of alpha generation strategies, risk models, and portfolio analytics across a suite of products.
He holds a Bachelor of Commerce in Actuarial Studies, graduating with distinction, and a Bachelor of Science in Mathematics, where he graduated with First Class Honours and the University Medal, both from the University of New South Wales (UNSW).
He also holds a PhD in Finance from the University of Technology Sydney.
Aktive Positionen von Danny Lo
| Unternehmen | Position | Beginn |
|---|---|---|
Vinva Investment Management Ltd.
Vinva Investment Management Ltd. Investment ManagersFinance Vinva aims to generate investment outperformance that meets or exceeds their clients’ expectations. The firm utilizes an insight-driven systematic approach to investing. They bring sound economic insights and market understanding to investing combined with a disciplined and quantitatively driven approach. Their investment portfolios exploit a diversified range of market inefficiencies and are designed to be style neutral over time. | Direktor der Forschung - Eigenkapital | 01.06.2024 |
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| Private Unternehmen | 1 |
|---|---|
Vinva Investment Management Ltd.
Vinva Investment Management Ltd. Investment ManagersFinance Vinva aims to generate investment outperformance that meets or exceeds their clients’ expectations. The firm utilizes an insight-driven systematic approach to investing. They bring sound economic insights and market understanding to investing combined with a disciplined and quantitatively driven approach. Their investment portfolios exploit a diversified range of market inefficiencies and are designed to be style neutral over time. | Finance |
















