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Job Campbell


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Job Campbell

Senior Portfolio Manager

Income Partners Asset Management

Job Campbell joined Income Partners back in 2003 as a Senior Investment Analyst. He is currently the firm’s lead portfolio manager for Asian USD/hard currency absolute return and long-only products and sits on the firm’s Investment Committee.

Job started his career as a Credit Analyst at Brown Brothers Harriman in New York, followed by a position at Goldman Sachs, where his Technology Equity research team received a prestigious and coveted Top 4 place in the ‘Institutional Investor Asia Research Poll’ for their sector coverage, recognition of Job’s acumen and talent.

Since joining Income Partners, Job has proven to be a vital contributor to our Asian Credit strategy and currently manages our flagship Asian credit absolute return fund which boasts the longest track record in the industry.

Job is directly responsible for bottom-up portfolio construction and optimization involving fundamental credit research and relative value analysis to determine credit selection and trading opportunities for the relevant portfolios. He also assesses regional and global macro environments, including economic, currency and interest rate trends to understand the top-down drivers for our portfolios.

Working closely to assist and support him in the portfolio management process, is our Hong Kong and Beijing team of analysts, who conduct credit and macro research to ensure Job’s recommendations and knowledge base are well rounded and considered which subsequently instills and maintains our clients’ trust.

Job graduated Phi Beta Kappa from the University of Pennsylvania and is a CFA charter-holder. Whilst English is his first language he speaks fluent Mandarin.

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康健伯

高級投資組合經理

康健伯先生在2003年加盟豐收投資,至今已12個年頭了。現擔任亞洲美元債以及硬貨幣債券類投資產品的首席投資組合經理,並為投資委員會主要成員之一。

康先生曾在美國紐約Brown Brothers Harriman 出任信貸分析師後任職Goldman Sachs。期間,他領導的科技股研究團隊在享負盛名的 ‘Institutional Investor Asia Research Poll’ 中,排名為行業類別的首四位,可見康先生的才華備受肯定。

自加盟豐收投資以來,康先生持續為我們的亞洲信貸策略帶來重要的貢獻。現時他掌管我們的旗艦基金“亞洲信貸絕對回報基金”,該基金擁有業內最悠久的往績。

康先生直接負責「由下而上」的投資組合建構和優化,包括進行基本因素信貸研究及相對價值分析,以厘定相關投資組合的信貸選擇和交易機會。此外,他亦專責評估地區及環球宏觀環境,包括經濟、貨幣和利率趨勢,從而奠定投資組合「由上而下」的方向。康先生同時帶領我們的香港和北京分析師團隊,進行信貸和宏觀經濟研究,在投資組織者程式中提供協助和支援。

康先生以優等生的榮譽畢業于美國賓夕法尼亞大學,並持有特許財務分析師資格。雖然其母語為英語,康先生同時亦掌握流利的普通話,他在香港生活了12年以上。

 

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