Profil
Dr. Alvin Tan is a Manager Quantitative Analysis at Goldman Sachs Asset Management Australia Pty Ltd.
He joined the firm in March 2008.
His role as Manager, Quantitative Analysis focuses on adding value to our investment process by applying quantitative techniques to stock selection, portfolio construction and asset allocation.
He is also involved in the research of the Australian model used in the Quantitative Investment Strategies’ portfolios.
Before joining the firm, he spent over three years as a Vice President, Quantitative Analyst in the Fixed Income Group at AllianceBernstein in Melbourne.
Prior to that he held positions with Macquarie Funds Management and the Reserve Bank of Australia.
Ehemalige bekannte Positionen von Alvin Tan
| Unternehmen | Position | Ende |
|---|---|---|
Goldman Sachs Asset Management Australia Pty Ltd.
Goldman Sachs Asset Management Australia Pty Ltd. Investment ManagersFinance GSAM Australia is an active, value-based, medium- to long-term manager which performs fundamental research and follows a bottom-up approach to select securities. The firm's equity investments team invests in companies which they believe are undervalued by the market, performing an intrinsic value assessment to evaluate industry outlook and competitive company position and make a prospective cash flow forecast. Their analysis considers factors including balance sheet quality, management quality, corporate governance, barriers to entry, market growth rates, pricing power, earnings sustainability and capital expenditure requirements. | Analyst-Equity | 01.05.2013 |
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Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
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| Private Unternehmen | 1 |
|---|---|
Goldman Sachs Asset Management Australia Pty Ltd.
Goldman Sachs Asset Management Australia Pty Ltd. Investment ManagersFinance GSAM Australia is an active, value-based, medium- to long-term manager which performs fundamental research and follows a bottom-up approach to select securities. The firm's equity investments team invests in companies which they believe are undervalued by the market, performing an intrinsic value assessment to evaluate industry outlook and competitive company position and make a prospective cash flow forecast. Their analysis considers factors including balance sheet quality, management quality, corporate governance, barriers to entry, market growth rates, pricing power, earnings sustainability and capital expenditure requirements. | Finance |
















