Profile
Lin Lin Pang is currently working as an Analyst at Southwest Securities Co., Ltd. (Broker).
Prior to this, Pang worked as a Director of Research at Beixin Ruifeng Fund Management Co., Ltd.
Lin Lin Pang active positions
| Companies | Position | Start |
|---|---|---|
Southwest Securities Co., Ltd. (Broker)
Southwest Securities Co., Ltd. (Broker) Investment Banks/BrokersFinance Provides brokerage service | Analyst-Equity | - |
Former positions of Lin Lin Pang
| Companies | Position | End |
|---|---|---|
Beixin Ruifeng Fund Management Co., Ltd.
Beixin Ruifeng Fund Management Co., Ltd. Investment ManagersFinance Beixin Fund Management is an active manager which focuses on investments in credit bonds, aiming to improve revenue ability. They employ fundamental analysis and utilize quantitative models to evaluate the risk and the value of the individual asset securitization products. They strictly control the overall size of asset-backed securities and diversify their investments to reduce liquidity risk. The firm believes that bond credit spreads are mainly affected by market credit spread curve trends and changes in the bond’s credit. They analyze macroeconomic trends, industry credit status, credit market liquidity risk, credit bond supply and demand analysis to determine the overall market credit spreads and sub-industry trends. They then utilize an internal rating system to analyze the relative credit level of each credit bond, default risk and theoretical credit spread. | Director of Research - Equity | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
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Female
Members of the board
Executives
Linked companies
| Private companies | 2 |
|---|---|
Southwest Securities Co., Ltd. (Broker)
Southwest Securities Co., Ltd. (Broker) Investment Banks/BrokersFinance Provides brokerage service | Finance |
Beixin Ruifeng Fund Management Co., Ltd.
Beixin Ruifeng Fund Management Co., Ltd. Investment ManagersFinance Beixin Fund Management is an active manager which focuses on investments in credit bonds, aiming to improve revenue ability. They employ fundamental analysis and utilize quantitative models to evaluate the risk and the value of the individual asset securitization products. They strictly control the overall size of asset-backed securities and diversify their investments to reduce liquidity risk. The firm believes that bond credit spreads are mainly affected by market credit spread curve trends and changes in the bond’s credit. They analyze macroeconomic trends, industry credit status, credit market liquidity risk, credit bond supply and demand analysis to determine the overall market credit spreads and sub-industry trends. They then utilize an internal rating system to analyze the relative credit level of each credit bond, default risk and theoretical credit spread. | Finance |
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