Speakers
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Jennifer Delaney | Morgan Stanley Investment Management Jennifer is a portfolio specialist on the Global Emerging Markets Equity team. She joined Morgan Stanley in 2013 and has 13 years of investment experience. Prior to joining the firm, Jennifer worked at UBS in New York, London and Mexico City, writing macro strategy research across both developed and emerging market equities. Jennifer received an honors degree in economics from Cambridge University and holds the Chartered Financial Analyst designation.
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Ross Teverson | Jupiter Asset Management Ross Teverson joined Jupiter in 2014 as Head of Strategy, Emerging Markets Equities. He manages the Jupiter Global Emerging Markets Unconstrained SICAV, the Jupiter China Select SICAV. Prior to joining Jupiter, Ross worked for 15 years at Standard Life Investments, where he managed a global emerging markets equity Fund. Ross spent 7 years in Standard Life Investment’s Hong Kong office, where he managed an Asian equity fund, and was a director of the business. He was also appointed director of Heng An Standard Life, a Chinese life insurance joint venture between Standard Life and Tianjin Economic-Technological Development Area. Ross is a graduate of Oxford University and is a member of the Chartered Financial Analyst Institute.
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HyungJin Lee | Baring Asset Management Jin is Head of Asian Equities and takes the lead role in the management of regional Asia ex Japan products and mandates including Baring Asia Growth Fund and Baring Eastern Trust. He is also the lead manager of the Baring Korea Trust, back up manager of the Baring ASEAN Frontiers Fund and spearheads research and stock selection for Korea.
Jin joined Barings as an Investment Manager in 2004 from Rhee Capital, a Korean hedge fund company, where he was involved with the management of a long/short hedge fund focusing on Korean equities. He was previously Head of the Large Cap and Financial Teams at Samsung Securities. Jin’s experience also includes Analyst roles at Salomon Smith Barney, UBS Securities and Credit Lyonnais. Jin holds a B.A. in Philosophy from the University of California, Berkeley (US). He is fluent in Korean.
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Vivina Berla | Sarona Asset Management Vivina joined Sarona in 2011 to lead the growth and evolution of the firm into the institutional market. Prior to Sarona, she worked for 20 years in the institutional investment world, of which 11 years included private equity in the US and Europe. She held senior positions during 10 years at Merrill Lynch Investment Managers in London and left her role as Managing Director Alternative Investments to join Gartmore Investment Management as Head of EMEA in 2004. Vivina's first career included 11 years in the steel industry in Latin America, Asia, Africa and Middle East. She graduated from the London School of Economics and obtained an MBA from the Tuck School of Business at Dartmouth. She is a member of the London School of Economics’ Court of Governors and Finance Committee.
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Narina Mnatsakanian | Sarona Asset Management Based in Amsterdam, Narina leads Sarona’s business development and investor relations activities across Europe. During the previous four years, Narina worked for MN; a large Dutch pension fund asset manager. In this capacity, she led the environmental, social, and governance integration project across listed and non-listed asset classes. Prior to MN, Narina was the Head of Networks and Global Investor Outreach at the UN-supported Principles for Responsible Investment (PRI) and at the UNEP Finance Initiative. She began her career at KPMG in Strategy Consulting and at Ernst & Young in Advisory. Narina holds a BA (Hons) and MA (Cantab) degree in Land Economy from Cambridge University and an MSc degree in Financial Economics from Erasmus University Rotterdam. She is a CAIA charter holder.