Perfil
Mr. Vincent Wu is Partner at Cadian Capital Management LP.
He received his BS in Computer Science from Stanford University.
Antiguos cargos conocidos de Vincent Wu.
| Empresas | Cargo | Fin |
|---|---|---|
Cadian Capital Management LP
Cadian Capital Management LP Investment ManagersFinance Cadian Capital manages funds which seek long-term capital appreciation from investments in equity securities of companies in the global telecommunications, media and technology sectors as well as in consumer, healthcare, industrials, financial services and technology and other related sectors. To implement the above strategy, the firm focuses on fundamental stock research and selection through a disciplined upside/downside analysis. They take a value-oriented approach to the sectors in which the funds invest, drawing upon the deep sector experience of their personnel across geographies and asset classes. Cadian Capital focuses on seeking to minimize market and other systemic risks to the funds’ portfolios. The firm aims conservative net beta exposure through alpha generative long and short positions. | Analyst-Equity | - |
Formación de Vincent Wu.
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Empresas relacionadas
| Empresas privadas | 2 |
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Stanford University
Stanford University Other Consumer ServicesConsumer Services Functions as a College/University | Consumer Services |
Cadian Capital Management LP
Cadian Capital Management LP Investment ManagersFinance Cadian Capital manages funds which seek long-term capital appreciation from investments in equity securities of companies in the global telecommunications, media and technology sectors as well as in consumer, healthcare, industrials, financial services and technology and other related sectors. To implement the above strategy, the firm focuses on fundamental stock research and selection through a disciplined upside/downside analysis. They take a value-oriented approach to the sectors in which the funds invest, drawing upon the deep sector experience of their personnel across geographies and asset classes. Cadian Capital focuses on seeking to minimize market and other systemic risks to the funds’ portfolios. The firm aims conservative net beta exposure through alpha generative long and short positions. | Finance |
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