Fabrice started his career in 1985 in New York in the leveraged capital group of Banque Paribas that provided mezzanine financing to listed companies going through leveraged buy-outs. He joined the investment banking team of Banque Paribas Capital Markets in London in 1987 where he specialised in cross-borders mergers and acquisitions, prior to moving to Paris in 1989 where he joined the mergers and acquisitions department of Banque Worms (AXA Group). He was posted to Hong Kong by Banque Worms in 1995 to set up its local asset management department with a specific focus on H shares, red chips and Chinese debt instruments.
Fabrice left the banking world in 1997 to set up MYM Capital Ltd, an independent asset manager specialised in Chinese equities and high yield debt, and launched his first two SICAV mutual funds aimed at European investors. In 2007 MYM Capital Ltd was renamed JK Capital Management Ltd following the acquisition of Pacific Capital Management Ltd, a Hong Kong-based asset manager specialised in equity investments across Asia with an exclusive US client base.
Fabrice graduated from the Université de Paris Dauphine with a Bachelor in Business Administration and from Baruch College, City University of New York with an MBA in Finance and Investments.
Sabrina is covering Asian stock markets since 1999. Prior to joining JK Capital in 2013, Sabrina was a senior analyst with Invesco, and before that, she was an analyst with Citi Property Investors/Forum Securities and BNP Paribas. Her career started in the A share markets with Chinese broker Changjiang Securities based in Wuhan and Shanghai. Sabrina graduated from University of Maryland (MBA) in the USA and Wuhan University (BA) in China.
Marcus has been in finance industry in Asia since 2000 focusing on Asian equity and fixed income Markets. At JK Capital, he runs the Fixed Income business by managing two SICAV Funds. Prior to joining JK Capital, Marcus worked on the bond trading desks at HSBC, Morgan Stanley and Nomura in Hong Kong in both trading and desk analyst roles, with the majority of his career focusing on Asia’s High Yield and Convertible Bond markets. Marcus has also previously been a publishing fixed income and equity research analyst. Marcus holds Bachelor and Master of Science degrees in Physics from the University of Bristol in the UK and is a CFA charterholder.
Arvind started to evolve in financial services in 2003. Before joining JK Capital Management, Arvind worked as an Investment analyst in Ward Ferry management, a long/short hedge fund based in Hong Kong covering equities in India and APAC including Japan. Prior to that Arvind worked for the Credit Suisse proprietary trading desk in Hong Kong covering equities across Asia pacific. Before entering the buy side, Arvind worked in ICICI bank as a credit risk analyst and Standard Chartered bank as a wholesale banking analyst. Arvind graduated from Bharathidasan University with a Bachelor degree in Commerce. He is a chartered accountant and a CFA charter holder.
Gun’s career in Finance industry started in 2009. Before joining JK Capital Management, Gun worked as an Investment analyst at Manulife Asset Management, covering Asian equities. Prior to that Gun worked for Lazard Asset Management in Korea, covering tech, media, and telco industries in Korean equities. Before joining Lazard, he worked at Shinhan BNP Paribas as an investment analyst for its long/short equity fund. Prior to entering the financial industry, Gun founded an internet finance company in Korea. Gun graduated from Seoul National University with a bachelor’s degree in business administration and obtained a Master of Science in Biotechnology from Hong Kong University of Science and Technology. He is a CFA charterholder.
Steve has been building up his experience as analyst of listed Asian companies since 2011. Prior to joining JK Capital Management, Steve worked as an Assistant Vice President of Khazanah Nasional (Beijing office), a Malaysian sovereign wealth fund, covering consumer staples/discretionary, property, internet, and materials in A and H shares. Prior to that, Steve worked in the sell-side as a consumer staples/discretionary equity research associate for HSBC (through Copal) and UBS (through EVS). Steve graduated from New York University Stern School of Business with a Bachelor degree in Finance. He is a CFA charterholder
Prior to joining JK Capital Management in 2018, Eric worked at BOCI-Prudential Asset Management Ltd from 2016 as a Fixed Income Analyst covering both Investment Grade and High Yield USD-denominated bonds. Eric graduated from the London School of Economics and Political Science (BSc. Economics)
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