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NG ENG HOU

BLK 6 Marine Terrace #12-210


Singapore 440006
(M): +65-9178-6272
enghou@hotmail.com
NRIC
: S1522189E
Marital Status : Single
Gender
: Male

EDUCATION
Chartered Financial Analyst awarded by CFA Institute
Bachelor of Business Administration National University of Singapore
GCE A Level Nanyang Junior College
GCE O Level - Anglo-Chinese Secondary School
PSLE Anglo-Chinese Primary School

Career Summary
Over 10 years experiences in equities research on regional equities
Good writing skill in coming out with timely investment proposals, countries & sectors reports
High flexibility in ability to cover colleagues work responsibilities at short notice
Display supervisory skill in mentoring junior colleagues
Written & verbal fluency in English, Mandarin; and Cantonese (spoken only)
Computing literacy in Microsoft Word, Excel, Power Point, Chinese Words Input

WORKING EXPERIENCE
Jan 2012 Current
QUANTUM ASSET MANAGEMENT PTE LTD
Investment Associate
Performs portfolio oversight, economic research and analysis, fund manager research
and selection, trading of equities, and reporting to clients at quarterly meetings;
July 2004 Dec 2011
SJAM INVESTMENT MANAGERS (SINGAPORE)
Investment Manager
Co-managed the ASIA BAGUS FUND with an AUM of US$20m of Hong Kong, H-share and
Singapore equities respectively. Participated in Asset Allocation for the Fund. Wrote reports
on the strategies decided upon, prepared slides for, and presented the strategies to the
firms Investment Committee, corporate and high net worth clients.
Constructed and managed portfolios of North Asia and Singapore equities, which out-

performed the designated benchmarks. My SJAM HK portfolio achieved a 22.94% return


since inception as compared to the Hang Seng Indexs 16.51% increase in the
corresponding period. Even in my worst year in 2010, though the SJAM HK portfolio
registered a 1.6% loss, it still outperformed the Hang Seng Indexs 3% loss.
Analyzed initial public offerings qualitatively, using comparables and through constructing
financial models, such that corporate and high net worth clients achieved positive returns in
the designated time interval.
Analyzed portfolio risk and prepared monthly portfolio performance.
Provided comprehensive weekly updates to the Research Department, corporate and high
net worth clients on movements in major equity indices, currency rates and financial markets
around the world. Analyzed and provided insights on financial news and currency trends in
China/Hong Kong and Singapore on a weekly basis.
February 1999 June 2004
CHINA INSURANCE COMPANY (SINGAPORE)
Portfolio Manager
Performed portfolio oversight, economic research and analysis, fund manager research
and selection, trading of equities, fixed income, ETFs and investment trusts and reporting
to clients at quarterly meetings.
Managed the in-house S$80m investment portfolio of Hong Kong and Singapore equities.
Sourced for, analyzed and wrote proposals for investment opportunities.
Assessed financial risks involved in construction performance bonds/insurance policies for
construction projects.
Successfully hedged USD-denominated bonds using EURO-denominated bonds, to
effectively preserve the value of bonds in the portfolio.

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