Profilo
Ms. Zhang Zhang, CFA, is a Portfolio Manager & Analyst at DNCA Finance SA. She is co-lead for DNCA Sustainable China Equity and an investment team member for Asian Equity.
She began her career in 2009 and has over 10 years' experience (C.S.C, Comgest, HMG Finance, Conseil Plus Gestion, Ostrum AM, DNCA Finance).
Ms. Zhang holds a Master’s degree in Asset Management from the University of Paris Dauphine.
She is a also Chartered Financial Analyst (CFA) charter holder.
Posizioni attive di Zhang Zhang
| Società | Posizione | Inizio |
|---|---|---|
DNCA Finance SA
DNCA Finance SA Investment ManagersFinance DNCA Finance is an active investor that employs conviction-based management across asset classes, management styles (Value, Blend and Growth) and geographical regions. The investment approach they use is bottom-up and is based on fundamental research. The firm invests in European equity which seeks to invest in undervalued companies that are shareholder conscious and have quality management, sound financials, a strong market position, positive momentum and upside potential. Portfolio managers jointly approve investment decisions. | Analyst-Equity | 01/10/2020 |
Precedenti posizioni note di Zhang Zhang
| Società | Posizione | Fine |
|---|---|---|
Natixis Investment Managers International SA
Natixis Investment Managers International SA Investment ManagersFinance NIM International is an active, growth-oriented, research-based manager which integrates top-down asset allocation with a bottom-up approach of sector weightings and stock selection. They define themselves as a global balanced manager with a strong focus on Europe and invest across asset classes. The firm has expertise in European equities, fixed-income global emerging equities and responsible investments. | Analyst-Equity | 01/10/2020 |
KYOSEIL-AM SAS
KYOSEIL-AM SAS Investment ManagersFinance KYOSEIL-AM aims to offer a range of diversifying and responsible investment solutions. The firm identifies companies with sustainable growth prospects with the best possible level of visibility. Investment choices are based on a qualitative (strategy, competitive positioning, risk factors, management track record) and quantitative (growth prospects, valuation ratios, etc.) analysis. | Gestore di Portafoglio-Azioni | 01/07/2019 |
HMG Finance SA
HMG Finance SA Investment ManagersFinance HMG Finance is a contrarian, value-oriented investor that specializes in small and mid-cap stocks with a focus on undervalued as well as high-yielding investments. The firm utilizes a bottom-up approach to stock selection based on fundamental microeconomic research and valuation processes and disregards sector and macroeconomic analysis. HMG Finance seeks to substantially outperform the relevant Bourse de Paris indices over the medium to long-term while maintaining risk levels below those of the market. | Analyst-Equity | 01/08/2016 |
Formazione di Zhang Zhang
Esperienze
Posizioni ricoperte
Attive
Inattive
Società nel listino
Aziende private
Relazioni
Relazioni di 1° grado
Aziende connesse in 1º grado
Uomo
Donna
Amministratori
Dirigenti
Società collegate
| Aziende private | 5 |
|---|---|
HMG Finance SA
HMG Finance SA Investment ManagersFinance HMG Finance is a contrarian, value-oriented investor that specializes in small and mid-cap stocks with a focus on undervalued as well as high-yielding investments. The firm utilizes a bottom-up approach to stock selection based on fundamental microeconomic research and valuation processes and disregards sector and macroeconomic analysis. HMG Finance seeks to substantially outperform the relevant Bourse de Paris indices over the medium to long-term while maintaining risk levels below those of the market. | Finance |
KYOSEIL-AM SAS
KYOSEIL-AM SAS Investment ManagersFinance KYOSEIL-AM aims to offer a range of diversifying and responsible investment solutions. The firm identifies companies with sustainable growth prospects with the best possible level of visibility. Investment choices are based on a qualitative (strategy, competitive positioning, risk factors, management track record) and quantitative (growth prospects, valuation ratios, etc.) analysis. | Finance |
DNCA Finance SA
DNCA Finance SA Investment ManagersFinance DNCA Finance is an active investor that employs conviction-based management across asset classes, management styles (Value, Blend and Growth) and geographical regions. The investment approach they use is bottom-up and is based on fundamental research. The firm invests in European equity which seeks to invest in undervalued companies that are shareholder conscious and have quality management, sound financials, a strong market position, positive momentum and upside potential. Portfolio managers jointly approve investment decisions. | Finance |
Université Paris Dauphine-PSL
Université Paris Dauphine-PSL Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Natixis Investment Managers International SA
Natixis Investment Managers International SA Investment ManagersFinance NIM International is an active, growth-oriented, research-based manager which integrates top-down asset allocation with a bottom-up approach of sector weightings and stock selection. They define themselves as a global balanced manager with a strong focus on Europe and invest across asset classes. The firm has expertise in European equities, fixed-income global emerging equities and responsible investments. | Finance |
















