Hoon-Koo Lee

Portfolio Manager at DB Asset Management - Global Investment Division

Hoon-Koo Lee

Hoon-Koo Lee

Portfolio Manager at DB Asset Management - Global Investment Division

Biography

Mr. Hoon-Koo Lee is a Portfolio Manager at Dongbu Asset Management Co., Ltd. Mr. Lee was previously employed as a Portfolio Manager by Heungkuk Asset Management Co., Ltd.

Overview
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81

Relationships
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Head of Fixed Income at DB Asset Management - Global Investment Division

Relationship likelihood: Strong

Chief Investment Officer at DB Asset Management - Global Investment Division

Relationship likelihood: Average

Chief Executive Officer at DB Asset Management - Global Investment Division

Relationship likelihood: Average

Head of Equity at DB Asset Management - Global Investment Division

Relationship likelihood: Average

Head of Alternative Investment at DB Asset Management - Global Investment Division

Relationship likelihood: Average

Head of Global Investment at DB Asset Management - Global Investment Division

Relationship likelihood: Average

Head-Real Assets Investments at DB Asset Management - Global Investment Division

Relationship likelihood: Average

Portfolio Manager at DB Asset Management - Global Investment Division

Relationship likelihood: Average

Portfolio Manager at DB Asset Management - Global Investment Division

Relationship likelihood: Average

Portfolio Manager at DB Asset Management - Global Investment Division

Relationship likelihood: Average

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The Washington Post
October 24, 2019
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Hoon-Koo Lee
Portfolio Manager at DB Asset Management - Global Investment Division
Career History
Portfolio Manager
2015 - Current

Dongbu AM is a fundamentals-based, research-oriented manager which aims to achieve above-average, long-term returns by investing in equities, fixed-income and alternative instruments. Their geographic focus is global.For equities the firm performs quantitative and qualitative analysis and employs a combined top-down and bottom-up approach to construct balanced portfolios with optimal sector weightings. For fixed-income, they conduct company analysis and seek to invest in undervalued fixed-income securities.

Portfolio Manager
Prior

Hungkuk-ITM is an active, team-based, GARP-oriented manager which pursues a sector-rotating, instrument-specific investment process and constructs diversified portfolios. For stocks, Hungkuk-ITM conducts quantitative and qualitative industry-specific analysis. The firm performs company visits and utilizes a combined bottom-up and top-down approach to select stocks. The fund manager makes the sell decision.For bonds, Hungkuk-ITM employs investor-specific asset allocation, balancing top-down and bottom-up approaches. While the management is team-based, selling is executed by a specialist trader, in accordance with the firm's principle: 'best price, best execution'. In addition, each fund manager constructs a portfolio based on the model portfolio created by the team. The firm tends to concentrate on high-yield bonds, taking an active position.For private equity funds, Hungkuk seeks to invest in mid-cap, value firms.Hungkuk-ITM's specialists conduct in-house research, employing proprietary systems to seek balanced combinations of fundamental/technical and quantitative/qualitative analyses. The firm's Risk Management Committee actively manages investment risk and compliance.

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