Profil
Mr. Seung-Joon Lee is Head of Growth Equities at Samsung Asset Management Co., Ltd. Mr. Lee was previously employed as a Portfolio Manager by Macquarie Investment Management Korea Co., Ltd. and Mirae Asset Global Investments Co., Ltd.
Anciens postes connus de Seung-Joon Lee
| Sociétés | Poste | Fin |
|---|---|---|
Mirae Asset Global Investments Co., Ltd.
Mirae Asset Global Investments Co., Ltd. Investment ManagersFinance Mirae Asset performs bottom-up research, aiming to identify the sustainable competitiveness of companies (a commanding market share, comparative advantages to competitors, a differentiated business model and high levels of transparency and corporate governance). They assess investment risk with expected return and monitor valuations, liquidity and corporate governance for their potential to inflict damage on long-term competitiveness. The firm constructs portfolios following a team-based approach to decision making, with extensive discussion and a firm commitment to adhere to their investment principles and process. | Gestionnaire de Portefeuille-Actions | - |
Samsung Asset Management Co., Ltd.
Samsung Asset Management Co., Ltd. Investment ManagersFinance SAMC is an active, value-oriented manager which employs a top-down and bottom-up approach in its investment analysis. The firm provides expert discretionary investment advice on Korea and Asian markets. Investment teams consisting of portfolios managers and research analysts analyze a number of securities for consideration to include in an investment portfolio. Their portfolio construction process diversifies holdings across sectors, market capitalization, weightings and other variables in order to mitigate risk. | Head-Equity Investments | - |
Feyman Asset Management Co., Ltd.
Feyman Asset Management Co., Ltd. Investment ManagersFinance FAM is an active, GARP-oriented, team-based investment manager which concentrates on high-performance stock in the electronics, finance, chemical, iron/steel manufacturing and transportation equipment manufacturing industries. The firm primarily manages stock/bond combination funds and money market funds. They apply a combination of bottom-up and top-down approaches in the composition of portfolios, and consider both value and growth firms. In addition, industry-specific analysis takes up an important role, while risk management is achieved through sector-rotating and evaluation against a benchmark. | Gestionnaire de Portefeuille-Actions | - |
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Entreprise privées
Sociétés liées
| Entreprise privées | 3 |
|---|---|
Samsung Asset Management Co., Ltd.
Samsung Asset Management Co., Ltd. Investment ManagersFinance SAMC is an active, value-oriented manager which employs a top-down and bottom-up approach in its investment analysis. The firm provides expert discretionary investment advice on Korea and Asian markets. Investment teams consisting of portfolios managers and research analysts analyze a number of securities for consideration to include in an investment portfolio. Their portfolio construction process diversifies holdings across sectors, market capitalization, weightings and other variables in order to mitigate risk. | Finance |
Mirae Asset Global Investments Co., Ltd.
Mirae Asset Global Investments Co., Ltd. Investment ManagersFinance Mirae Asset performs bottom-up research, aiming to identify the sustainable competitiveness of companies (a commanding market share, comparative advantages to competitors, a differentiated business model and high levels of transparency and corporate governance). They assess investment risk with expected return and monitor valuations, liquidity and corporate governance for their potential to inflict damage on long-term competitiveness. The firm constructs portfolios following a team-based approach to decision making, with extensive discussion and a firm commitment to adhere to their investment principles and process. | Finance |
Feyman Asset Management Co., Ltd.
Feyman Asset Management Co., Ltd. Investment ManagersFinance FAM is an active, GARP-oriented, team-based investment manager which concentrates on high-performance stock in the electronics, finance, chemical, iron/steel manufacturing and transportation equipment manufacturing industries. The firm primarily manages stock/bond combination funds and money market funds. They apply a combination of bottom-up and top-down approaches in the composition of portfolios, and consider both value and growth firms. In addition, industry-specific analysis takes up an important role, while risk management is achieved through sector-rotating and evaluation against a benchmark. | Finance |
















