At One Asia, human capital is our most valuable asset.
Our worldwide team comprises of a group of dedicated and passionate financial professionals with over 80 years of combined team experience. One Asia aims to surpass industry standards, and exceed expectations of our clients.
Chief Executive Officer
At One Asia, Mr Goh is the Chief Executive Officer and responsible for formulating and implementing the Firm’s strategic plans.
Mr Goh has more than 15 years of experience working in top Private and Investment Banks. His career spans across roles in Risk Management, Product Development, Structuring and Sales. His product scope covers currencies, interest rates, credit and commodities.
Prior to One Asia, Mr Goh was an Executive Director with Credit Agricole Corporate & Investment Bank where he was responsible for the bank’s structured product business servicing financial Institutions in South East Asia. Mr Goh’s past work experience also include providing structured investment solutions to private banks at Merrill Lynch and overseeing all aspects of the structured products business from product development to after-sales support at UBS Wealth Management.
Mr Goh holds a post-graduate Master of Science in Financial Engineering from the Nanyang Technological University of Singapore, awarded in conjunction with Carnegie Mellon University, and a Bachelor Degree in Economics from the University of Michigan (Ann Arbor).
Chief Investment Officer
Mr Sun is responsible for investments made at One Asia. He maintains oversight of the various funds and portfolios managed by the Firm. Together with his team, they analyse market and corporate events to identify investment opportunities.
Prior to joining One Asia Investment Partners, Mr Sun was with Greylock Capital Management LLC (“Greylock Capital”), a global credit hedge fund in New York. He led the firm’s Asian expansion in 2009 when the Asian office was established in Singapore.
Mr Sun assumed the role of Chief Executive Officer of the Singapore office and was responsible for all Asian transactions and investments. In this role, Mr Sun managed a team of analysts to identify new public and private direct investments in Investment Grade, High Yield, Distressed and Special Situations in Asia using a credit focused bottom-up framework.
Before Greylock Capital, Mr Sun was a member of the International Debt Capital Markets Group at Bear Stearns Companies, Inc. (“Bear Stearns”), covering origination and execution of fixed-income offerings for Sovereigns and Corporates in Asia and the Middle East. His career started at Standard Chartered Bank as a Management Associate focussing on structured asset financing within Corporate Finance and Wholesale Banking.
Mr Sun holds a post-graduate Master of Science in Financial Engineering from the Nanyang Technological University of Singapore, awarded in conjunction with Carnegie Mellon University, and a Bachelor of Science in Computer Engineering from Nanyang Technological University, Singapore.
Head of Equity Portfolio Management
Mr Kong is a senior portfolio manager at One Asia with 20 years of international experience in the asset management industry. His main expertise is in Asian equities.
Prior to One Asia, Mr Kong was the Co-Chief Investment Officer with Libra Invest Asset Management (“Libra”) based in Malaysia. He was the portfolio manager for both the Asian Consumer Equity Fund and the Value Opportunity Fund.
Before Libra, Mr Kong built up the emerging equity business at Stretto Capital Pte Ltd in Singapore (subsequently re-named OSK International Asset Management Pte Ltd in 2008). He was the Portfolio Manager for the Asia ex-Japan Long-Short portfolio and Long-only portfolio.
Mr Kong started his career with American Century Investments in New York as an Asian analyst and was eventually promoted to Co-Head and Portfolio Manager of the funds focussing on Global Emerging Market (“GEM”) Equity strategies.
Mr Kong holds a Master of Business Administration (with a concentration in Corporate Finance), Master of Science in Civil Engineering and a Bachelor of Science in Civil Engineering, from Virginia Tech University, USA.
KWEK WEI REN
Mr Kwek Wei Ren is a portfolio manager at One Asia Investment Partners (“One Asia”).
Prior to joining One Asia, Mr Kwek was the trading manager of the North-West European portfolio in Golden Agri International Pte Ltd, a wholly-owned subsidiary of Golden Agri-Resources Ltd that is publicly listed on the Singapore Exchange. He developed the cross-border arbitrage books that invested across U.S., European and Asian derivatives and swaps, before managing the North-West European portfolio. He was also responsible for the origination of physical commodity pipelines and long-term agreements out of Asia to rest of the world.
Before Golden Agri, Mr Kwek worked in the Singapore and Shanghai offices of Noble Group Ltd, covering trading and investment analysis of the international grains and oilseeds market across big commodity regions like the U.S., South America, Europe, China and ASEAN. His primary focus was on the soybean crush arbitrage and mispricing that existed between the U.S. and Chinese derivatives and physical markets.
Mr Kwek holds a Bachelor of Accountancy (2nd major in Finance) from the Singapore Management University, Singapore. Mr Kwek is fluent in English and Mandarin.
WONG LOOK LIEW
Head of Alternative Investment
Mr. Wong is a Director, Head of Alternative Investment at One Asia Investment Partners (“One Asia”).
Mr. Wong has extensive experience in the finance industry through many key positions held in various international firms. Prior to joining One Asia, he had previously held the position of Senior Sales Manager at Mizuho, Daiwa Securities and Hwang DBS Asset, managing sales desks and key institutional accounts. Mr. Wong was also the Country Head of Deutsche Bank Securities and Team Head of Deutsche Bank Private Bank. Before joining Deutsche Bank, Mr. Wong was the head of CIMB Securities International Sales division.
He started his private equity career in CapitalLand Limited, structuring Real Estate deals.
Mr. Wong holds a Bachelor of Business Administration (Honours) degree from Acadia University in Canada.
KOH HOOI HIEN
Head of Wealth Management
Mr. Koh is a Director, Wealth Management, at One Asia Investment Partners ("One Asia").
Prior to joining One Asia, Mr. Koh was the Head of Wealth Management at Oclaner Asset Management where he oversaw the development of the wealth management business and built the multi-family office offering in Asia.
Before joining Oclaner, Mr. Koh spent 8 years with UBS Wealth Management. He spent the first 2 years in Singapore under the UBS Wealth Management Associate Programme and was then assigned to Hong Kong for 6 years as Director of Wealth Management where he built the Southeast Asian business.
Prior to joining UBS, Mr. Koh was with the Monetary Authority of Singapore for 5 years where he held the title of Assistant Director with the Business Development Department. Mr. Koh started his career with Accenture as a consultant in the Financial Services Department.
Mr. Koh holds a Bachelor's degree in Economics and Accounting from the University of Bristol in the United Kingdom. He is fluent in English and Mandarin.
Mr. Vincent Yueh Yen Chin is a portfolio manager at One Asia Investment Partners (“One Asia”).
Having ran a proprietary derivatives trading book at Bunge, Mr. Yueh has a wide range of trading and research experience in the commodities industry. In this role, he delivered returns using relative value, directional and statistical strategies backed by fundamental research.
Prior to this, Mr. Yueh was a research manager in the same firm leading a team of analysts to build fundamental supply and demand models and to identify trading opportunities across the commodities space. He also spent nearly a year in Bunge’s Head Office in New York managing the global soft commodities research team and supporting head traders.
Mr. Yueh holds a Bachelor of Economics (1st Class Honors) with a 2nd Major in Finance from the Singapore Management University. He was actively involved in the University’s student-managed investment fund (SMIF).