Profil
Ivy Du formerly worked at Nomura International (Hong Kong) Ltd., as Research Analyst from 2021 to 2022 and China Investment Corp.
(Investment Company), as Vice President.
Ms. Du received her graduate degree from the University of Oxford.
Ehemalige bekannte Positionen von Ivy Du
| Unternehmen | Position | Ende |
|---|---|---|
Nomura International (Hong Kong) Ltd.
Nomura International (Hong Kong) Ltd. Investment Banks/BrokersFinance Provides brokerage services | Analyst-Equity | 01.10.2022 |
China Investment Corp. (Investment Company)
China Investment Corp. (Investment Company) Financial ConglomeratesFinance CIC-IC is an active manager with a long-term investment horizon. They select strategic investments based on established investment principles and values. The firm invests across sectors and geographies which aim to achieve stable, sustainable risk-adjusted returns. Their risk management system is based on international best practices and seeks to strike a balance between risk preference and risk bearing capacity in their investment model. | Analyst-Equity | - |
Ausbildung von Ivy Du
Erfahrungen
Besetzte Positionen
Aktive
Inaktive
Börsennotierte Unternehmen
Private Unternehmen
Beziehungen
Beziehungen ersten Grades
Unternehmen ersten Grades
Herr
Frau
Aufsichtsräte
Führungskräfte
Unternehmensverbindungen
| Private Unternehmen | 3 |
|---|---|
University of Oxford
University of Oxford Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Nomura International (Hong Kong) Ltd.
Nomura International (Hong Kong) Ltd. Investment Banks/BrokersFinance Provides brokerage services | Finance |
China Investment Corp. (Investment Company)
China Investment Corp. (Investment Company) Financial ConglomeratesFinance CIC-IC is an active manager with a long-term investment horizon. They select strategic investments based on established investment principles and values. The firm invests across sectors and geographies which aim to achieve stable, sustainable risk-adjusted returns. Their risk management system is based on international best practices and seeks to strike a balance between risk preference and risk bearing capacity in their investment model. | Finance |
















