Profil
Mr. Hu San Pai is Co-Head of Asian Equities at HSBC Global Asset Management (Hong Kong) Ltd.
He is a fund manager in the Asia ex Japan equity team and has been working in the industry since 1987.
He joined HSBC in 2003.
Mr. Pai was previously an Investment Director at Halbis Capital Management.
He has over 11 years of fund management experience, eight of which were with Credit Agricole Asset Management where he was a Director of Investment, and three years with AIG Investment Corporation (Asia) Ltd. Prior to working in the fund management industry, he spent five years principally with the investment / private banking arms of Credit Lyonnais and Bank of America.
Mr. Pai holds a Bachelor of Business Administration degree, majoring in Economics & Finance from Simon Fraser University in Canada.
Anciens postes connus de Hu San Pai
| Sociétés | Poste | Fin |
|---|---|---|
Halbis Capital Management (Hong Kong) Ltd.
Halbis Capital Management (Hong Kong) Ltd. Financial ConglomeratesFinance HCM-HK is an investment specialist with a long-term outlook and a research-oriented decision process. They define their activity as 'fundamental active investment'. Decentralization is at the center of the firm's investment approach, and they occasionally follow a contrarian investment philosophy. Extensive fundamental analysis aims at identifying mispriced stocks on Asian markets and informs the bottom-up investment process. The investment decisions are made by small focused teams and do not follow any particular investment style. The firm specializes in Asian markets, across a variety of asset classes and strategies. Teams in the Hong Kong office focus on Asia ex-Japan equity, managing regional and country portfolios. The Asia ex-Japan portfolio management unit is based in Hong Kong, as is the Asian fixed-income team. HCM-HK's India equity fund is weighted in industry, resources, technology, and consumer goods. Their China equity fund focuses of consumption growth and is weighted in industry, energy and resources, insurance and consumer sectors. The firm also advises a BRIC fund and a global emerging markets fund. | Director of Investments | 09/02/2010 |
HSBC Global Asset Management (Hong Kong) Ltd.
HSBC Global Asset Management (Hong Kong) Ltd. Investment ManagersFinance HSBC-GAM HK’s investment approach combines top-down asset allocation with bottom-up sector and security selection and is primarily based on the range of funds managed within the parent group. Research is shared within HSBC. The firm manages country specialist equity funds, focused on Asian countries including China and India, seeking to invest in companies with growth potential, a competitive edge on export markets, quality management, a favorable regulatory environment and access to low-cost labor and raw materials. | Head-Equity Investments | - |
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| Entreprise privées | 2 |
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HSBC Global Asset Management (Hong Kong) Ltd.
HSBC Global Asset Management (Hong Kong) Ltd. Investment ManagersFinance HSBC-GAM HK’s investment approach combines top-down asset allocation with bottom-up sector and security selection and is primarily based on the range of funds managed within the parent group. Research is shared within HSBC. The firm manages country specialist equity funds, focused on Asian countries including China and India, seeking to invest in companies with growth potential, a competitive edge on export markets, quality management, a favorable regulatory environment and access to low-cost labor and raw materials. | Finance |
Halbis Capital Management (Hong Kong) Ltd.
Halbis Capital Management (Hong Kong) Ltd. Financial ConglomeratesFinance HCM-HK is an investment specialist with a long-term outlook and a research-oriented decision process. They define their activity as 'fundamental active investment'. Decentralization is at the center of the firm's investment approach, and they occasionally follow a contrarian investment philosophy. Extensive fundamental analysis aims at identifying mispriced stocks on Asian markets and informs the bottom-up investment process. The investment decisions are made by small focused teams and do not follow any particular investment style. The firm specializes in Asian markets, across a variety of asset classes and strategies. Teams in the Hong Kong office focus on Asia ex-Japan equity, managing regional and country portfolios. The Asia ex-Japan portfolio management unit is based in Hong Kong, as is the Asian fixed-income team. HCM-HK's India equity fund is weighted in industry, resources, technology, and consumer goods. Their China equity fund focuses of consumption growth and is weighted in industry, energy and resources, insurance and consumer sectors. The firm also advises a BRIC fund and a global emerging markets fund. | Finance |
















