Profile
Yoichiro Kai worked as a Fund Manager at FIL Investments (Japan) Ltd. Worked as a Fund Manager at Citadel Investment Group (Asia) Ltd. from 2007 to 2008.
Worked as a Portfolio Manager at T.
Rowe Price Singapore Pte Ltd. from 2009 to 2020.
Former positions of Yoichiro Kai
| Companies | Position | End |
|---|---|---|
T. Rowe Price Singapore Pte Ltd.
T. Rowe Price Singapore Pte Ltd. Investment ManagersFinance Price Singapore maintains multiple active management strategies in equity and fixed income asset classes. The firm uses a complex and multifaceted approach to investment analysis and asset management decisions. They integrate environmental, social and corporate governance (ESG) factors into their investment research process. | Portfolio Manager-Equities | 01/04/2020 |
Citadel Investment Group (Asia) Ltd.
Citadel Investment Group (Asia) Ltd. Citadel Asia is an active, opportunistic, technology-driven manager which operates a multi-strategy platform through the group's seven major global businesses: Global Credit, Global Energy, Global Equities, Global Markets and Quantitative Strategies, Global Rates, Principal Strategies and Reinsurance. The Global Credit business combines fundamental research and quantitative analysis to invest in leveraged companies worldwide. The Global Energy team employs fundamental market expertise and quantitative analysis to identify directional and relative value investment opportunities. The Global Equities business follows a long-term investment approach, conducting equity research and managing equity portfolios. Global Markets and Quantitative Strategies performs market making and quantitative-based trading in equities, ETFs, derivatives, fixed-income, currencies and commodities. Global Rates utilizes macro and relative value investment strategies across fixed-income products, securitized products, currencies and derivatives. Principal Strategies concentrates on mergers and acquisitions, spinoffs, restructuring, extraordinary litigation and companies which they identify with unrecognized deep value. | Portfolio Manager-Equities | 31/12/2008 |
FIL Investments (Japan) Ltd.
FIL Investments (Japan) Ltd. Investment ManagersFinance FIJ is an active, value and growth-oriented manager which focuses on long-term capital appreciation. The firm uses a wide variety of methods of security analysis and investment strategies in managing client assets. Their investment process is bottom-up and informed by in-depth fundamental research on individual companies including an extensive visitation program. Potential investments are first ranked by analysts. Portfolio managers then perform further research on select companies and make investment decisions using a team-oriented process. Portfolios are regularly reviewed by specialized investment committees. | Portfolio Manager-Equities | 01/07/2007 |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 3 |
|---|---|
FIL Investments (Japan) Ltd.
FIL Investments (Japan) Ltd. Investment ManagersFinance FIJ is an active, value and growth-oriented manager which focuses on long-term capital appreciation. The firm uses a wide variety of methods of security analysis and investment strategies in managing client assets. Their investment process is bottom-up and informed by in-depth fundamental research on individual companies including an extensive visitation program. Potential investments are first ranked by analysts. Portfolio managers then perform further research on select companies and make investment decisions using a team-oriented process. Portfolios are regularly reviewed by specialized investment committees. | Finance |
Citadel Investment Group (Asia) Ltd.
Citadel Investment Group (Asia) Ltd. Citadel Asia is an active, opportunistic, technology-driven manager which operates a multi-strategy platform through the group's seven major global businesses: Global Credit, Global Energy, Global Equities, Global Markets and Quantitative Strategies, Global Rates, Principal Strategies and Reinsurance. The Global Credit business combines fundamental research and quantitative analysis to invest in leveraged companies worldwide. The Global Energy team employs fundamental market expertise and quantitative analysis to identify directional and relative value investment opportunities. The Global Equities business follows a long-term investment approach, conducting equity research and managing equity portfolios. Global Markets and Quantitative Strategies performs market making and quantitative-based trading in equities, ETFs, derivatives, fixed-income, currencies and commodities. Global Rates utilizes macro and relative value investment strategies across fixed-income products, securitized products, currencies and derivatives. Principal Strategies concentrates on mergers and acquisitions, spinoffs, restructuring, extraordinary litigation and companies which they identify with unrecognized deep value. | |
T. Rowe Price Singapore Pte Ltd.
T. Rowe Price Singapore Pte Ltd. Investment ManagersFinance Price Singapore maintains multiple active management strategies in equity and fixed income asset classes. The firm uses a complex and multifaceted approach to investment analysis and asset management decisions. They integrate environmental, social and corporate governance (ESG) factors into their investment research process. | Finance |
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