总部位于香港的外汇宏观对冲基金Ortus创立者、掌门人、首席投资官是中国大陆人Joe Zhou

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分类: 美国著名金融经济学家 |
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Dr Joe Zhou,
Dr Joe Zhou,
Chief Investment Officer
Ortus Capital Management Limited
Joe Zhou,中国大陆人,1983年获得武汉大学数学学士,1990年获得宾夕法尼亚大学沃顿商学院统计学硕士,1993年获得宾夕法尼亚大学沃顿商学院金融学博士,1993-96年他在雷曼兄弟和贝尔斯登担任自营交易员,1996-97年他在华盛顿大学(圣路易苏)担任金融学助理教授。1997-2001年他在Quantitative Financial Strategies担任研究主管。2001-2003年他共同发起成立了Divergence Capital Management LLC.2003年他发起成立了总部位于香港的外汇宏观对冲基金——Ortus资产管理有限公司,并担任首席执行官至今,该基金规模目前已达21亿美元。
Joe Zhou,中国大陆人,1983年获得武汉大学数学学士,1990年获得宾夕法尼亚大学沃顿商学院统计学硕士,1993年获得宾夕法尼亚大学沃顿商学院金融学博士,1993-96年他在雷曼兄弟和贝尔斯登担任自营交易员,1996-97年他在华盛顿大学(圣路易苏)担任金融学助理教授。1997-2001年他在Quantitative Financial Strategies担任研究主管。2001-2003年他共同发起成立了Divergence Capital Management LLC.2003年他发起成立了总部位于香港的外汇宏观对冲基金——Ortus资产管理有限公司,并担任首席执行官至今,该基金规模目前已达21亿美元。
Dr. Joe Zhou is the Chief Investment Officer of Ortus Capital
Management Limited. Ortus Capital is an asset manager focusing on
systematic investment strategies in global currencies, it was
founded in 2003 and is authorized and regulated by the Securities
and Futures Commission of Hong Kong.
Dr. Zhou received his B.S. in Mathematics in 1983 from Wuhan University (China) and two degrees from the Wharton School of the University of Pennsylvania: a M.A. in Statistics in 1990 and a Ph.D. in Finance in 1993.
From 1993 to 1996, Dr. Zhou was a proprietary trader, first at Lehman Brothers, and then at Bear Stearns, where he traded a wide variety of futures and options contracts. From 1996 to 1997, Dr. Zhou was Assistant Professor of Finance at Washington University in St. Louis, Missouri. From 1997 to 2001, Dr. Zhou was the Head of Research at Quantitative Financial Strategies, Inc. From 2001 to 2003, Dr. Zhou co-founded Divergence Capital Management LLC.
Among Dr. Zhou's publications are - Optimal Investment Strategies for Controlling Drawdowns (Mathematical Finance, 1993, joint authorship with Dr. Sanford Grossman) - Equilibrium Analysis of Portfolio Insurance (Journal of Finance, 1996, joint authorship with Dr. Sanford Grossman) and - An Equilibrium Analysis of Hedging with Liquidity Constraints, Speculation and Government Price Subsidy in a Commodity Market (Journal of Finance, 1998).
Dr. Zhou received his B.S. in Mathematics in 1983 from Wuhan University (China) and two degrees from the Wharton School of the University of Pennsylvania: a M.A. in Statistics in 1990 and a Ph.D. in Finance in 1993.
From 1993 to 1996, Dr. Zhou was a proprietary trader, first at Lehman Brothers, and then at Bear Stearns, where he traded a wide variety of futures and options contracts. From 1996 to 1997, Dr. Zhou was Assistant Professor of Finance at Washington University in St. Louis, Missouri. From 1997 to 2001, Dr. Zhou was the Head of Research at Quantitative Financial Strategies, Inc. From 2001 to 2003, Dr. Zhou co-founded Divergence Capital Management LLC.
Among Dr. Zhou's publications are - Optimal Investment Strategies for Controlling Drawdowns (Mathematical Finance, 1993, joint authorship with Dr. Sanford Grossman) - Equilibrium Analysis of Portfolio Insurance (Journal of Finance, 1996, joint authorship with Dr. Sanford Grossman) and - An Equilibrium Analysis of Hedging with Liquidity Constraints, Speculation and Government Price Subsidy in a Commodity Market (Journal of Finance, 1998).