Profile
Haruo Sawada, Head of Investment Advisory Sales & Marketing Department, joined Nikko AM in March 2005 after serving as Director of Investment Trusts with the Tokyo operations of HSBC Securities.
He has extensive experience leading financial services firms, having served as CEO of four different companies: Mellon Global Investments Japan, Deutsche Asset Management Japan, Bankers Trust Investment Management Japan, and Nomura Asset Management, USA. Sawada also worked for Nomura Securities International in the United States, where he was responsible for selling Japanese equities and government bonds to institutional investors.
He has a master's degree in public administration from the University of Southern California.
Former positions of Kunio Sawada
| Companies | Position | End |
|---|---|---|
| NIKKO ASSET MANAGEMENT CO., LTD. - LISTED TRACERS US GOVERNMENT BOND 0-2YEARS LADDER FUND | Director of Investments | 20/12/2007 |
Experiences
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Linked companies
| Private companies | 1 |
|---|---|
Nikko Asset Management Co., Ltd.
Nikko Asset Management Co., Ltd. Investment ManagersFinance Amova Asset Management is an active, growth-oriented manager offers both active and passive investment capabilities across equity, fixed income and alternative asset classes, with key strengths in multiple pan-Asian asset strategies. The firm’s general approach focuses on fundamental bottom-up analysis based on in-house research; although it will vary depending on specific requirements of the investment strategy pursued and is tailored accordingly. Through their overseas offices they invest globally, favoring Asian equity and US mid- and large-cap companies, as well as emerging markets. Their alternative investments follow strategies such as global fixed-income and currency arbitrage, Japanese market neutral, convertible bond and option-based arbitrage strategies, and multi-manager funds. They provide a broad coverage of global fixed income markets and currencies, with consideration to the following factors: macro fundamentals, interest rates, market liquidity, and investor positioning/relative performance. | Finance |
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