Le Chen Email & Phone Number
Who is Le Chen? Overview
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Le Chen is listed as Senior Manager at Chamofon Investment Fund Management, Ltd. based in Chaoyang District, Beijing, China. AeroLeads shows a matched LinkedIn profile for Le Chen.
Le Chen previously worked as Senior Manager at Haimo Cultural Holdings Co., Ltd. and Fund Manager at Chamofon Investment Fund Management, Ltd.. Le Chen holds Master Of Science (Msc), Financial Analysis And Fund Management from University Of Exeter.
About Le Chen
CFA Level II Passed; Master of Science in Finance at the University of Exeter; 4 years of progressive investment, marketing, and channel relationship experience preferably in the hi-tech and new retail industry; Proficient in Excel, VBA, Stata, SAS and related modeling tools; Excellent verbal and written communication skills in English; Strong analytical, financial and quantitative skills.
Le Chen work experience
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Fund Manager
I. Relationship development and Marketing1. Implementing integrated marketing communications, incl. online & offline recourses, promotions and partnership marketing;2. Coordinating with clients, investees, stakeholders and management team;3. Supporting partnership team to develop marketing activities for partners and sponsors;4. Conducting weekly and monthly status measurement and progress report, monitoring and analyzing sales data;5. Gathering, modeling and visualizing sales and industry data, and translating key findings and analyses into visual presentations for senior leadership;6. Leading negotiations with target companies and potential co-investors, including China National Administration of Coal Geology, Beijing state-owned assets management Co., and Beijing Government Guidance Fund Team, and assisting theses corporations in the acquisition of listed companies;7. Preparing all necessary documents for management and investment committee.II. PE Investment1. Conducting industry, data and portfolio analysis using Excel, VBA, Stata, SAS and other programming tools to design the transaction structure of investment projects in hi-tech industries (industries involving new materials and strategic mineral resources, intelligent manufacturing, smart healthcare, artificial intelligence, satellite communications and networking, ecosystem restoration);2. Investment strategy analysis and evaluation, financial analysis, profit forecasting, modeling, risk assessment and feasibility studies of projects (liquefied natural gas, Xinyang perlite, silicon-aluminum alloy materials, smart agricultural supply chain, Eco-contribution System Strategic Fund);3. Project management monitoring, investment analysis report updates and portfolio re-balancing using Excel and VBA (digitalized hospital, metro-retail, naked eye 3D display).
Courseworks
Quantitative Analysis and Portfolio Management1. Global Growth and Income Portfolio Management and Asset Allocation: Forming, monitoring and revising an international diversified portfolio and explaining its investment objective, investment strategy and performance measurement;2. Pecking Order or Trade-off? An investigation on acquiring-firm returns in the recent merger wave from 2002 through 2015: Analysis of U.S. public companies’ abnormal return in the recent merger wave;3. Comparison between Diageo, Lafarge and Vodafone: Using financial ratio analysis and impressions from their business reviews and presentations to address their asset valuation, asset utilization and shareholder value; 4. New Fund Portfolio Construction and Analysis: Performance evaluation and in- and out-of-sample analysis;5. Company Analysis of British Petroleum: Ratio analysis of BP and analysis of comparison with Shell and Exxon.
Investment Manager
I. Capital market communication1. Developing and maintaining deep long-term relationships with sell-side analysts, shareholders and potential investors; 2. Monitoring, rebalancing and updating business reports and strategies on a regular basis;3. Collecting and analyzing the industry data to make sure key takeaways and feedbacks are timely shared with the senior management team.II. Company and industry analysis1. Industry analysis and financial forecasting to explore efficiency of capitalization and fair valuation of the company; 2. Developing investor communication strategy and materials including press releases, executive talking points, conference call scripts, quarterly earnings presentations, fact sheets and investor presentations; 3. Supporting corporate finance team on fundraising executions and other capital market events.
Le Chen education
Master Of Science (Msc), Financial Analysis And Fund Management
Exchange Student, Finance, General, Gpa 3.82/4.00
Bachelor Of Economics, International Economics And Trade, Gpa 3.61/4.00
Frequently asked questions about Le Chen
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What is Le Chen's role at their current company?
Le Chen is listed as Senior Manager at Chamofon Investment Fund Management, Ltd..
Where is Le Chen based?
Le Chen is based in Chaoyang District, Beijing, China.
What companies has Le Chen worked for?
Le Chen has worked for Haimo Cultural Holdings Co., Ltd., Chamofon Investment Fund Management, Ltd., University Of Exeter, and Reon Hengtai Equity Investment Fund Management Co., Ltd..
How can I contact Le Chen?
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What schools did Le Chen attend?
Le Chen holds Master Of Science (Msc), Financial Analysis And Fund Management from University Of Exeter.
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