Profiel
Ms. San San Goh, CFA, is a Portfolio Manager at Lion Global Investors Ltd. She has over 32 years of financial industry experience.
Prior to joining the firm in October 2005, she was a Fixed Income Market Specialist and Analyst at UOB Asset Management covering Singapore, Asia and Emerging Markets.
Her fund management experience includes insurance, absolute return, Singapore fixed income, Asian fixed income and collateralised debt obligations.
She has also worked at Bloomberg LP for 3 years before joining UOB Asset Management.
She graduated with a Bachelor of Science in Economics from the National University of Singapore in 1994 and holds the CFA designation.
Actieve functies van San San Goh
| Bedrijven | Functie | Begin |
|---|---|---|
Lion Global Investors Ltd.
Lion Global Investors Ltd. Investment ManagersFinance LGI employs a team-based and research intensive investment approach. The firm combines a top-down and bottom-up approach. For equities, LGI focuses on the long-term which they believe allows them to avoid selling too early or overtrading the portfolio. They aim to identify high conviction ideas that are trading at substantial discounts to fair value. For fixed-income investments, the firm continuously monitors market and economic indicators. They aim to diversify risk across country, duration, yield curve, currency and credit. | Portfolio Manager-Fixed Income | 01-10-2005 |
Ervaring
Beklede functies
Actief
Inactief
Beursgenoteerde bedrijven
Bedrijven in privébezit
Connecties
Eerstegraads connecties
Bedrijven verbonden in de eerste graad
Man
Vrouw
Besturend
Uitvoerend
Verwante bedrijven
| Bedrijven in privébezit | 1 |
|---|---|
Lion Global Investors Ltd.
Lion Global Investors Ltd. Investment ManagersFinance LGI employs a team-based and research intensive investment approach. The firm combines a top-down and bottom-up approach. For equities, LGI focuses on the long-term which they believe allows them to avoid selling too early or overtrading the portfolio. They aim to identify high conviction ideas that are trading at substantial discounts to fair value. For fixed-income investments, the firm continuously monitors market and economic indicators. They aim to diversify risk across country, duration, yield curve, currency and credit. | Finance |
















