Profil
Mr. Chen is responsible for the accounting and performance measurement activities of the company along with overseeing operations and outsourced fund administration.
Prior to joining Baystar, Mr. Chen worked as an account manager at Bank of New York-Alternative Investment Services, where he was responsible for hedge fund administration.
Before that, he was a senior accountant at Liss, Okun, Goldstein, Okun & Tancer, CPAs, PC, where he gained public auditing, accounting and tax experience.
Mr. Chen is currently pursuing a MS degree in taxation.
He has an undergraduate degree in Accounting and Economics from City University of New York in 1997 and he is a CPA and holds CFA designation.
Anciens postes connus de Naichang Chen
| Sociétés | Poste | Fin |
|---|---|---|
Baystar Capital Management LLC
Baystar Capital Management LLC Investment ManagersFinance BayStar Capital Management seeks to generate superior absolute returns by hedging structured investments in privately issued derivative securities of publicly traded US and global companies. The firm focuses on companies across a variety of sectors including computer hardware and software, biopharmaceuticals, medical devices, media, telecommunications, specialty healthcare, Internet products/services and information technology. The fir looks for companies with a promising technology, product or service with significant market potential and a strong management team. BayStar seeks to capitalize on pricing inefficiencies between privately negotiated derivative securities and underlying common stocks and uses appropriate hedging strategies to maintain superior risk adjusted returns. Once an investment has been made, it is actively managed to reduce exposure and obtain a targeted return, often independent of market trends. Company and sector risk is further reduced through portfolio diversification | Directeur Financier/CFO | 31/12/2005 |
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| Entreprise privées | 1 |
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Baystar Capital Management LLC
Baystar Capital Management LLC Investment ManagersFinance BayStar Capital Management seeks to generate superior absolute returns by hedging structured investments in privately issued derivative securities of publicly traded US and global companies. The firm focuses on companies across a variety of sectors including computer hardware and software, biopharmaceuticals, medical devices, media, telecommunications, specialty healthcare, Internet products/services and information technology. The fir looks for companies with a promising technology, product or service with significant market potential and a strong management team. BayStar seeks to capitalize on pricing inefficiencies between privately negotiated derivative securities and underlying common stocks and uses appropriate hedging strategies to maintain superior risk adjusted returns. Once an investment has been made, it is actively managed to reduce exposure and obtain a targeted return, often independent of market trends. Company and sector risk is further reduced through portfolio diversification | Finance |
















