Kelvin Chow

Portfolio Analyst at Allianz Global Investors Asia Pacific Ltd.

Kelvin Chow

Kelvin Chow

Portfolio Analyst at Allianz Global Investors Asia Pacific Ltd.

Overview
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Senior Managing Director & Head of Equities at Manulife Asset Management (Hong Kong) Ltd.

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Former Senior Portfolio Manager at Fortis Investment Management Hong Kong Ltd.

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Head of Asia Pacific Equities at BNP PARIBAS ASSET MANAGEMENT Asia Ltd.

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Investment Director at HSBC Global Asset Management (Hong Kong) Ltd.

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Former Portfolio Manager at Fortis Investment Management Hong Kong Ltd.

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Former Managing Director & Portfolio Manager at PineBridge Investments Asia Ltd.

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Former Portfolio Manager at Fortis Investment Management Hong Kong Ltd.

Relationship likelihood: Strong

Portfolio Manager at BNP PARIBAS ASSET MANAGEMENT Asia Ltd.

Relationship likelihood: Strong

Portfolio Manager at BNP PARIBAS ASSET MANAGEMENT Asia Ltd.

Relationship likelihood: Strong

Portfolio Manager at BNP PARIBAS ASSET MANAGEMENT Asia Ltd.

Relationship likelihood: Strong

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Kelvin Chow
Portfolio Analyst at Allianz Global Investors Asia Pacific Ltd.
Career History
Portfolio Analyst
2015 - Current

AllianzGI Asia Pacific is an active, research and team-oriented manager which employs a multi-disciplined research platform to support their equity, fixed-income and multi-asset strategies, aiming to achieve consistent results and add value to client wealth. Their GrassrootsSM Research provides analysis across economic sectors and complements their economic research. For equities, the firm follows a bottom-up, fundamentals-driven stock selection approach which concentrates on high conviction ideas and aims to achieve capital growth principally through investment in global equity markets. They aim to add value in stock selection, portfolio construction and implementation, seeking to capture mispriced opportunities through stocks with lower downside risk and more upside potential. They adopt a team approach to portfolio management and manage a range of regional and single country Asia Pacific equity mandates. For fixed-income, they aim to achieve long-term income streams and capital gains by taking advantage of market inefficiency opportunities. They employ multiple research tools and methodologies and utilize fundamental bottom-up research complemented with quantitative analysis. Their fixed-income team utilizes top-down and bottom-up approaches, providing the foundation for country and sector allocation and a basis for further stock-screening that is complemented by the bottom-up approach. In addition, they use multiple sources of added value driven by fundamentals, valuation and technical analysis to generate long-term potential returns.Their multi-asset strategy aims to meet the diversification needs of an overall portfolio by distributing investments throughout several asset classes, aiming to provide investors with a mixture of potential income and capital appreciation. The strategy is based on multi-asset research provided by the multi-asset portfolio management team and comprises the analysis of multi-asset active asset allocation, dynamic risk budgeting, overlay management, commodities, volatility and fixed-income.

Portfolio Analyst
Prior - 2015

RCM AP is an active, research-based manager which follows their 'RCM Informed' philosophy, believing that proprietary sector-based fundamental research is the foundation of a successful investment process. Their research platform is made up of a fundamental research team and their proprietary GrassrootsSM Research, comprised of in-house employees, a global network of independent journalists, field force researchers and industry contacts .The firm's analysts are organized on a global basis by sector and industry. Their fundamental research focuses on qualitative and quantitative analysis and face-to-face meetings with companies, complemented by findings of the GrassrootsSM Research division, to generate bottom-up stock selection.RCM AP's expertise includes regional/country/equity, global equity, emerging markets equity, thematic and sector, alpha extension, multi-asset/absolute return and structured product strategies,

Portfolio Manager
2010 - Prior

BNPP AM Asia is an active, medium- to long-term manager which performs in-house research and invests through their funds in a range of strategies including equity, fixed-income, alternative, multi-manager, balanced, structured, indexed, SRI and emerging markets.The firm constructs portfolios utilizing a top-down approach to allocate assets. They continuously monitor trends and turning points including economic and financial market conditions, movements in interest rates and inflation, political environment, fund flows and broad investor sentiment to determine the portfolio mix and country allocations.They perform bottom-up analysis to select securities, searching to identify mispriced quality assets which are undervalued by investment markets. A vital part of their stock selection process is equity analysis carried out through company visits.

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