Profil
Raymond Chan worked as an Advisor at Allianz Global Investors Asia Pacific Ltd. in 2025.
Mr. Chan served as Chief Investment Officer at Allianz Global Investors Hong Kong Ltd. and at RCM Asia Pacific Ltd. Former jobs include Advisor at Allianz Global Investors Asia Pacific Ltd., Chief Investment Officer at Allianz Global Investors Hong Kong Ltd., and Chief Investment Officer at RCM Asia Pacific Ltd.
Ehemalige bekannte Positionen von Raymond Chan
| Unternehmen | Position | Ende |
|---|---|---|
Allianz Global Investors Asia Pacific Ltd.
Allianz Global Investors Asia Pacific Ltd. Investment ManagersFinance AllianzGI AP provides investment management and investment advisory services relating to a broad range of investment strategies and financial instruments. While they offer investment management and investment advisory services concerning other types of strategies based outside the US, their most significant investment strategy offered to US-based accounts involves investing in the equity securities and equity-related instruments of companies in Asia Pacific. Investment decisions for equity, fixed income and balanced accounts are made based on a bottom-up and a top-down analysis. | Chief Investment Officer | 01.01.2025 |
Allianz Global Investors Hong Kong Ltd.
Allianz Global Investors Hong Kong Ltd. Investment ManagersFinance AGI-HK is an active, research-driven investment manager which follows a growth-and-value-oriented equity investment style. Their investment process blends bottom-up and top-down approaches to construct global and regional equity portfolios, and utilizes quantitative techniques to enhance portfolio management. The firm delegates portfolio management to fellow Allianz subsidiaries. Funds are generally managed by AGI as a group. For fixed-income, AGI believes that innovation, diligence and risk management are key to investment performance. Top-down sources include duration, volatility, sector and yield curve analysis and management. Bottom-up sources include credit analysis, quantitative research, issue selection and cost-effective trading. AGI's research and portfolio management are team-based. Their alternative multi-manager strategy follows a multi-style market neutral approach and is based on a continuous bottom-up research effort aimed at expanding the universe of investible hedge funds. Asset allocation criteria include return, volatility, market correlation and liquidity. | Chief Investment Officer | 01.06.2015 |
RCM Asia Pacific Ltd.
RCM Asia Pacific Ltd. Investment ManagersFinance RCM AP is an active, research-based manager which follows their 'RCM Informed' philosophy, believing that proprietary sector-based fundamental research is the foundation of a successful investment process. Their research platform is made up of a fundamental research team and their proprietary GrassrootsSM Research, comprised of in-house employees, a global network of independent journalists, field force researchers and industry contacts . The firm's analysts are organized on a global basis by sector and industry. Their fundamental research focuses on qualitative and quantitative analysis and face-to-face meetings with companies, complemented by findings of the GrassrootsSM Research division, to generate bottom-up stock selection. RCM AP's expertise includes regional/country/equity, global equity, emerging markets equity, thematic and sector, alpha extension, multi-asset/absolute return and structured product strategies, | Chief Investment Officer | 31.05.2015 |
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| Private Unternehmen | 3 |
|---|---|
Allianz Global Investors Hong Kong Ltd.
Allianz Global Investors Hong Kong Ltd. Investment ManagersFinance AGI-HK is an active, research-driven investment manager which follows a growth-and-value-oriented equity investment style. Their investment process blends bottom-up and top-down approaches to construct global and regional equity portfolios, and utilizes quantitative techniques to enhance portfolio management. The firm delegates portfolio management to fellow Allianz subsidiaries. Funds are generally managed by AGI as a group. For fixed-income, AGI believes that innovation, diligence and risk management are key to investment performance. Top-down sources include duration, volatility, sector and yield curve analysis and management. Bottom-up sources include credit analysis, quantitative research, issue selection and cost-effective trading. AGI's research and portfolio management are team-based. Their alternative multi-manager strategy follows a multi-style market neutral approach and is based on a continuous bottom-up research effort aimed at expanding the universe of investible hedge funds. Asset allocation criteria include return, volatility, market correlation and liquidity. | Finance |
RCM Asia Pacific Ltd.
RCM Asia Pacific Ltd. Investment ManagersFinance RCM AP is an active, research-based manager which follows their 'RCM Informed' philosophy, believing that proprietary sector-based fundamental research is the foundation of a successful investment process. Their research platform is made up of a fundamental research team and their proprietary GrassrootsSM Research, comprised of in-house employees, a global network of independent journalists, field force researchers and industry contacts . The firm's analysts are organized on a global basis by sector and industry. Their fundamental research focuses on qualitative and quantitative analysis and face-to-face meetings with companies, complemented by findings of the GrassrootsSM Research division, to generate bottom-up stock selection. RCM AP's expertise includes regional/country/equity, global equity, emerging markets equity, thematic and sector, alpha extension, multi-asset/absolute return and structured product strategies, | Finance |
Allianz Global Investors Asia Pacific Ltd.
Allianz Global Investors Asia Pacific Ltd. Investment ManagersFinance AllianzGI AP provides investment management and investment advisory services relating to a broad range of investment strategies and financial instruments. While they offer investment management and investment advisory services concerning other types of strategies based outside the US, their most significant investment strategy offered to US-based accounts involves investing in the equity securities and equity-related instruments of companies in Asia Pacific. Investment decisions for equity, fixed income and balanced accounts are made based on a bottom-up and a top-down analysis. | Finance |
















