Perfil
Mr. Evan Xu is an Investment Analyst at Forefront Analytics LLC.
Prior to joining Forefront, Mr. Xu gained experience working in corporate finance, doing analysis and financial research for an investment and merchant banking firm as well as at an academic institute.
Mr. Xu is also a graduate of the Shanghai University of International Business and Economics, with a BEc in Finance and a B.B.A. in Human Resource Management.
He most recently graduated from Temple University with a Masters in Financial Analysis and Risk Management.
He is also a CFA Level III candidate and passed FRM Part II.
Cargos activos de Evan Xu
| Empresas | Cargo | Inicio |
|---|---|---|
Forefront Analytics LLC
Forefront Analytics LLC Investment ManagersFinance Forefront seeks to recommend portfolios and/or strategies that provide risk-adjusted returns. These recommendations are determined largely by the specific allocations, exposures, liquidity, and other characteristics, as well as the asset weightings of the firm’s individual clients. Forefront uses analytical techniques from industry and academia for qualitative and quantitative assessments. The firm may employ sector analysis, cluster and principal component analysis, and risk factor analysis. Forefront may seek to identify and quantify diversified risk exposures present in investments, managers, and portfolios of investment managers according to a client’s strategy or mandate. | Analyst-Equity | - |
Formación de Evan Xu.
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Empresas relacionadas
| Empresas privadas | 3 |
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Temple University (Pennsylvania)
Temple University (Pennsylvania) Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Shanghai University of International Business & Management
Shanghai University of International Business & Management Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Forefront Analytics LLC
Forefront Analytics LLC Investment ManagersFinance Forefront seeks to recommend portfolios and/or strategies that provide risk-adjusted returns. These recommendations are determined largely by the specific allocations, exposures, liquidity, and other characteristics, as well as the asset weightings of the firm’s individual clients. Forefront uses analytical techniques from industry and academia for qualitative and quantitative assessments. The firm may employ sector analysis, cluster and principal component analysis, and risk factor analysis. Forefront may seek to identify and quantify diversified risk exposures present in investments, managers, and portfolios of investment managers according to a client’s strategy or mandate. | Finance |
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