Profile
Mr. Christopher Kok, CFA, is a Senior Portfolio Manager at Kenanga Investors Bhd.
He joined KIB in January 2014 and has over 8 years of experience in local and regional investments.
His responsibilities include portfolio management as well maintaining research coverage on regional market & sectors.
Mr. Kok was with Meridian Asset Management where he was also involved in managing local and regional portfolios.
He began his career with AmInvestment Bank in the Equity Capital Markets department where he worked on numerous deals including initial public offerings (IPOs), follow-on equity offerings, secondary placements and underwriting risk assessments.
Mr. Kok graduated from Monash University, Australia with a Bachelor of Commerce (Accounting & Finance).
Christopher Kok active positions
| Companies | Position | Start |
|---|---|---|
Kenanga Investors Bhd.
Kenanga Investors Bhd. Investment ManagersFinance KIB is an active, fundamental research based manager which employs a bottom-up stock picking approach to invest across asset classes. The firm specializes in the Asia-Pacific region, with core competency in Asian equities and absolute return strategies. They focus on capital preservation and define risk as the probability of not being able to achieve a return above the prevailing cash or target return. KIB constructs portfolios following an absolute return approach where the emphasis for performance comparison is less on a market-related benchmark and more on a relatively stable target such as cash returns or inflation rate, believing that in the long run, this approach will yield returns superior to the underlying market benchmark and with lower volatility. | Portfolio Manager-Equities | 01/01/2014 |
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| Private companies | 1 |
|---|---|
Kenanga Investors Bhd.
Kenanga Investors Bhd. Investment ManagersFinance KIB is an active, fundamental research based manager which employs a bottom-up stock picking approach to invest across asset classes. The firm specializes in the Asia-Pacific region, with core competency in Asian equities and absolute return strategies. They focus on capital preservation and define risk as the probability of not being able to achieve a return above the prevailing cash or target return. KIB constructs portfolios following an absolute return approach where the emphasis for performance comparison is less on a market-related benchmark and more on a relatively stable target such as cash returns or inflation rate, believing that in the long run, this approach will yield returns superior to the underlying market benchmark and with lower volatility. | Finance |
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