Profile
Eric Poh worked as a Portfolio Manager at SG Asset Management (Singapore) Ltd. from 2003 to 2005.
He also worked as a Portfolio Manager at Nomura Asset Management Singapore Ltd.
Former positions of Eric Poh
| Companies | Position | End |
|---|---|---|
SG Asset Management (Singapore) Ltd.
SG Asset Management (Singapore) Ltd. Investment ManagersFinance SGAMS is a GARP-oriented, active investment manager that follows a team approach to investment and decision making. The firm performs fundamental research and pools resources and insight from their market specialists. Their fund managers are local market specialists that assess social, political and economic developments at macro- and microeconomic levels. The firm believes that superior returns in the Asia Pacific ex-Japan markets are captured over the long-term through investing in quality companies with high growth potential and seeks to capture the long-term secular growth trend in Asia Pacific ex-Japan, while placing less emphasis on short-term market cycles. SGAMS constructs portfolios using bottom-up and top-down approaches. They use a bottom-up process to select securities in each Asia Pacific ex-Japan country. The investment team performs research to identify quality companies with strong fundamentals, good growth prospects and reasonable valuations and then uses top-down macroeconomic and market analyses to derive the optimal country allocations. Their investment process is backed by a company visit program and supplemented by quantitative stock screening models based on in-house databases | Portfolio Manager-Equities | 21/11/2005 |
Nomura Asset Management Singapore Ltd.
Nomura Asset Management Singapore Ltd. Investment ManagersFinance NAMS aims to provide their clients with consistent investment performance and optimal quality asset management services through in-depth research and innovative risk management techniques. The firm employs active management based on fundamental research. They combine a top-down and bottom-up approach with a bias toward stock selection. Their product range covers various investment solutions including discretionary or advisory for segregated accounts, pooled products, and mutual funds. NAMS caters and customizes to different benchmarks and mandate types such as Pacific Basin ex-Japan regional and single-country, High Yield and High Concentrated, Small-Cap companies and Absolute Return equities and bonds portfolios. | Portfolio Manager-Equities | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 2 |
|---|---|
SG Asset Management (Singapore) Ltd.
SG Asset Management (Singapore) Ltd. Investment ManagersFinance SGAMS is a GARP-oriented, active investment manager that follows a team approach to investment and decision making. The firm performs fundamental research and pools resources and insight from their market specialists. Their fund managers are local market specialists that assess social, political and economic developments at macro- and microeconomic levels. The firm believes that superior returns in the Asia Pacific ex-Japan markets are captured over the long-term through investing in quality companies with high growth potential and seeks to capture the long-term secular growth trend in Asia Pacific ex-Japan, while placing less emphasis on short-term market cycles. SGAMS constructs portfolios using bottom-up and top-down approaches. They use a bottom-up process to select securities in each Asia Pacific ex-Japan country. The investment team performs research to identify quality companies with strong fundamentals, good growth prospects and reasonable valuations and then uses top-down macroeconomic and market analyses to derive the optimal country allocations. Their investment process is backed by a company visit program and supplemented by quantitative stock screening models based on in-house databases | Finance |
Nomura Asset Management Singapore Ltd.
Nomura Asset Management Singapore Ltd. Investment ManagersFinance NAMS aims to provide their clients with consistent investment performance and optimal quality asset management services through in-depth research and innovative risk management techniques. The firm employs active management based on fundamental research. They combine a top-down and bottom-up approach with a bias toward stock selection. Their product range covers various investment solutions including discretionary or advisory for segregated accounts, pooled products, and mutual funds. NAMS caters and customizes to different benchmarks and mandate types such as Pacific Basin ex-Japan regional and single-country, High Yield and High Concentrated, Small-Cap companies and Absolute Return equities and bonds portfolios. | Finance |
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