Andrew Goh
Portfolio Manager @ Phillip Securities Pte Ltd
About
Experienced Portfolio Manager with a demonstrated history of working in the financial services industry. Skilled in Equity Research, Asset Management, Equities and Bloomberg. Strong finance professional graduated from Macquarie University.
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Singapore
Investment Management
Fund Management, Security Analysis (Securities), Trading, Equities, Derivatives, Trading Systems, Financial Markets, Bloomberg, Technical Analysis, Equity Research, Investments, Proprietary Trading, Portfolio Management, Valuation, Financial Modeling, Asset Management, Financial Risk, Mutual Funds, Capital Markets, Financial Analysis
Experience

Portfolio Manager
Singapore
Started my own investment practice with Phillip Securities - Managed account service. Geographical focus: Global Asset class: 100% Equities No leverage and derivatives. 15 golden opportunities. For more info, visit my site @ www.15goldentickets.com

VP, Investments
Prism Ventures

Director
Factors Platform
- Fintech startup involved in trading data analytics and trading technology. - Researched and developed index strategies primarily for the Singapore and Hong Kong market.

Portfolio Manager
Singapore
• Responsible for portfolios under management - currently looking after a ASEAN fund (advisory) and a family fund (full discretion). • Generate monthly reports, model portfolios and publishing analyses to support investment theses and assess upside/downside scenarios. • To conduct fundamental research using various approaches of valuation including: DCF, valuation multiple or option based. • Cultivate deep knowledge of companies, so as to develop an edge in understanding the company and triggers that impact its equity value. • Interact with senior company executives and industry experts to support views and generate further ideas.

Prop Trader
• Responsible for tradebook. • Provide trading ideas, commentary and analysis to the team during morning discussions. • Conduct both qualitative and quantitative research on companies, industries and macroeconomic factors to develop trading strategy. • Determine capital exposure and implement trading ideas to generate P&L. • Monitor risk and limit exposures and ensure trade capture and P&L reconciliation.
Andrew Goh's Contact Information
Phone
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