Profil
Dr. Joon-Hui Yoon is an Investment Analyst at Penn Mutual Asset Management LLC.
He is responsible for providing quantitative analysis and portfolio analytics on client portfolios.
Dr. Yoon also manages the firm's quantitative infrastructure.
Prior to joining Penn Mutual, he was a risk manager at Hana Financial Group, which is one of the largest financial holding companies in South Korea.
During his tenure, he managed the market risk in various asset classes and their derivatives.
Dr. Yoon received his Master of Science degree in Industrial Engineering from Texas A&M University and a Doctor of Philosophy degree in Quantitative Finance from the University of Florida.
He has been a Chartered Financial Analyst Charterholder since 2017.
Anciens postes connus de Joon-Hui Yoon
| Sociétés | Poste | Fin |
|---|---|---|
Penn Mutual Asset Management LLC
Penn Mutual Asset Management LLC Investment ManagersFinance PMAM seeks to find securities that are under-valued in the marketplace based on both a relative value analysis of individual securities combined with an analysis of macro-economic factors. The firm’s tailored investment strategies incorporate a unified investment philosophy and process across the fixed income risk spectrum. Through the combination of a top-down and bottom-up decision-making approach, the team seeks to capitalize upon technical and fundamental dynamics that impact fixed income markets and exploit market inefficiencies. PMAM will sell a security when they believe that the security has been fully priced. | Analyst-Fixed Income | 01/05/2021 |
Formation de Joon-Hui Yoon
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| Entreprise privées | 3 |
|---|---|
Texas A&M University
Texas A&M University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
University of Florida
University of Florida Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Penn Mutual Asset Management LLC
Penn Mutual Asset Management LLC Investment ManagersFinance PMAM seeks to find securities that are under-valued in the marketplace based on both a relative value analysis of individual securities combined with an analysis of macro-economic factors. The firm’s tailored investment strategies incorporate a unified investment philosophy and process across the fixed income risk spectrum. Through the combination of a top-down and bottom-up decision-making approach, the team seeks to capitalize upon technical and fundamental dynamics that impact fixed income markets and exploit market inefficiencies. PMAM will sell a security when they believe that the security has been fully priced. | Finance |
















