Profil
Mr. Junaid Farooq is a Fund Manager at Frontier Investment Management Partners Ltd.
Mr. Farooq has worked in asset management and investment banking since 2003.
Junaid has invested in the region through multiple economic cycles.
Junaid worked at EFG-Hermes Asset Management before joining the firm, and prior to that, he worked at Mashreqbank where he was the portfolio manager of its regional flagship fund.
Junaid’s expertise includes banking, insurance, education, and healthcare focusing on Saudi Arabia, UAE and Egypt.
He holds a master’s degree in business administration from the Institute of Business Administration in Karachi.
Postes actifs de Junaid Farooq
| Sociétés | Poste | Début |
|---|---|---|
Frontier Investment Management Partners Ltd.
Frontier Investment Management Partners Ltd. Investment ManagersFinance FIM Partners is an active manager of public and private market assets listed and/or primarily operating in emerging and frontier markets. Their investment strategies utilize fundamental and quantitative data analysis. The strategy is designed to exploit inefficiencies in the client account’s target markets through a security selection process which is underpinned by a combination of thematic and bottom-up research and fundamental and quantitative data analytics. These securities typically exhibit a combination of discounted valuation and strong growth. The portfolio construction process reflects FIM Partners’ top investment ideas and is executed to optimize the risk-return profile of the strategy and achieve capital appreciation. The account is actively managed with the aim of preserving and/or improving the expected risk-return profile of the strategy. | Gestionnaire de Portefeuille-Actions | 01/01/2018 |
Anciens postes connus de Junaid Farooq
| Sociétés | Poste | Fin |
|---|---|---|
EFG-Hermes UAE Ltd.
EFG-Hermes UAE Ltd. Investment ManagersFinance EFG Hermes-UAE tailors their strategies to their clients' needs, risk profiles and investment objectives. The firm typically seeks to consistently outperform regional benchmarks. Their overall investment strategy aims for long-term capital appreciation across their various investment portfolios. They concentrate their investments in the Middle East and North Africa. They are a Sharia-compliant investment manager. They actively look for dynamic asset allocations aligned with Islamic investment principles. The firm's public equity investment approach is based on a fundamental, absolute-return driven strategy. They invest in capital markets in the MENA region and look to produce risk adjusted-returns. Their balanced portfolio's emphasis is on capital preservation while investing in fixed-income securities and listed equity. They typically look for an allocation of 40 to 60 percent of the portfolio in equity with the balance in money market instruments and fixed income. EFG Hermes-UAE's fixed income portfolio invests in corporate and government fixed income securities. The firm's investment strategy for their indexed portfolio seeks outperformance of regional and country-specific indices. They invest in diversified equities in the capital markets of the MENA region. The portfolio is rebalanced on a quarterly basis to minimize potential tracking errors. | Membre du Comité d'Investissement | 01/12/2017 |
Mashreq Capital DIFC Ltd. (Investment Management)
Mashreq Capital DIFC Ltd. (Investment Management) Investment ManagersFinance Mashreq-IM is an active manager which performs fundamental research to provide managed account services implementing customized investment strategies and manages mutual funds that has exposure to the Qatar, UAE, GCC, Middle East and North African markets. | Gestionnaire de Portefeuille-Actions | - |
Expériences
Fonctions occupées
Actives
Inactives
Sociétés cotées
Entreprise privées
Relations
Relations au 1er degré
Entreprises liées au 1er degré
Homme
Femme
Administrateurs
Exécutifs
Sociétés liées
| Entreprise privées | 3 |
|---|---|
Mashreq Capital DIFC Ltd. (Investment Management)
Mashreq Capital DIFC Ltd. (Investment Management) Investment ManagersFinance Mashreq-IM is an active manager which performs fundamental research to provide managed account services implementing customized investment strategies and manages mutual funds that has exposure to the Qatar, UAE, GCC, Middle East and North African markets. | Finance |
EFG-Hermes UAE Ltd.
EFG-Hermes UAE Ltd. Investment ManagersFinance EFG Hermes-UAE tailors their strategies to their clients' needs, risk profiles and investment objectives. The firm typically seeks to consistently outperform regional benchmarks. Their overall investment strategy aims for long-term capital appreciation across their various investment portfolios. They concentrate their investments in the Middle East and North Africa. They are a Sharia-compliant investment manager. They actively look for dynamic asset allocations aligned with Islamic investment principles. The firm's public equity investment approach is based on a fundamental, absolute-return driven strategy. They invest in capital markets in the MENA region and look to produce risk adjusted-returns. Their balanced portfolio's emphasis is on capital preservation while investing in fixed-income securities and listed equity. They typically look for an allocation of 40 to 60 percent of the portfolio in equity with the balance in money market instruments and fixed income. EFG Hermes-UAE's fixed income portfolio invests in corporate and government fixed income securities. The firm's investment strategy for their indexed portfolio seeks outperformance of regional and country-specific indices. They invest in diversified equities in the capital markets of the MENA region. The portfolio is rebalanced on a quarterly basis to minimize potential tracking errors. | Finance |
Frontier Investment Management Partners Ltd.
Frontier Investment Management Partners Ltd. Investment ManagersFinance FIM Partners is an active manager of public and private market assets listed and/or primarily operating in emerging and frontier markets. Their investment strategies utilize fundamental and quantitative data analysis. The strategy is designed to exploit inefficiencies in the client account’s target markets through a security selection process which is underpinned by a combination of thematic and bottom-up research and fundamental and quantitative data analytics. These securities typically exhibit a combination of discounted valuation and strong growth. The portfolio construction process reflects FIM Partners’ top investment ideas and is executed to optimize the risk-return profile of the strategy and achieve capital appreciation. The account is actively managed with the aim of preserving and/or improving the expected risk-return profile of the strategy. | Finance |
















