Profile
Mr. Prashant Bhayani is Chief Investment Officer of Asia at BNP Paribas Wealth Management.
He joined BNP Paribas Wealth Management in January 2016.
Mr. Bhayani is a highly accomplished professional who brings over 24 years of experience across asset classes in equity, fixed income, foreign exchange, and alternatives having worked in Asia, United Kingdom and the United States.
Prior to joining the firm, Mr. Bhayani was with J.P.
Morgan Private Bank where he was a senior global investment specialist.
Before that, he was co-Chief Investment Officer, co-Founder, Managing Partner of Cork Street Capital Advisors, a global equity alternatives firm based in London.
He has worked in global financial institutions including Goldman Sachs Asset Management and Chase Manhattan Bank.
He received a BA in Economics at Northwestern University in Evanston in 1991 and a MBA at INSEAD in Fontainebleau, France in 1997.
Prashant Bhayani active positions
| Companies | Position | Start |
|---|---|---|
BNP Paribas Wealth Management (Singapore)
BNP Paribas Wealth Management (Singapore) Investment ManagersFinance BNP Paribas Singapore seeks to deliver a tailor-made experience, with outstanding attention to detail along with precise, local knowledge backed by the global know-how of a worldwide banking group covering a diverse set of solutions spanning real estate, private equity and project finance (including yachts and jets). | Chief Investment Officer | 01/01/2016 |
Former positions of Prashant Bhayani
| Companies | Position | End |
|---|---|---|
Cork Street Capital Advisors (UK) LLP
Cork Street Capital Advisors (UK) LLP Investment ManagersFinance Cork Street utilizes a pre-event stock-specific approach targeting value stocks with growth potential. They favor long and short stock-specific opportunities that do not closely replicate market indexes. The firm targets high risk-adjusted returns on a multi-year basis. | Founder | 01/10/2010 |
Perenne Capital LLP
Perenne Capital LLP Investment ManagersFinance Provides investment advice | Director of Investments | 01/08/2011 |
Goldman Sachs Asset Management International
Goldman Sachs Asset Management International Investment ManagersFinance GSAMI typically employs a bottom-up approach to select stocks and base investment decisions on research derived from an understanding of local economies, the development of global relationships, face-to-face meetings and local insights. They invest in a variety of instruments including fundamental equity, quantitative equity, fixed-income, money market and alternative investments. | Portfolio Manager-Equities | 21/03/2007 |
Fischer Francis Trees & Watts (UK)
Fischer Francis Trees & Watts (UK) Investment ManagersFinance FFTW is an active manager which aims to opportunistically exploit structural inefficiencies that arise in global capital markets to consistently generate incremental returns relative to a passive benchmark. The firm constructs portfolios with multiple, off-benchmark risk exposures with low correlations to one another so that a single risk exposure has a limited impact on the overall portfolio. They believe that active management by market specialists located in the world's major financial centers increases return opportunities through superior security selection. In addition, they believe that total portfolio risk should be measured and controlled through the utilization of proprietary risk management tools built to specifically accommodate and enhance their investment process. FFTW's investment team consists of market specialists focusing on duration and yield curve opportunities globally, corporate credit, mortgages, asset-backed securities and foreign exchange. The firm's market specialists identify themes driving the returns in their sectors. Senior members of each market specialist team, along with FFTW's Chief Investment Officer, constitute the firm's Investment Strategy Group (ISG), which meets weekly to decide the firm's investment bias in each market sector. A dedicated Portfolio Team tailors the firm's investment strategy to each client's specific benchmark and guidelines. FFTW's proprietary analytical system for fixed-income, called PRISM, serves as the foundation of their portfolio management and risk control. | Analyst-Equity | 01/01/1996 |
JPMorgan Asset Management (Singapore) Ltd.
JPMorgan Asset Management (Singapore) Ltd. Investment ManagersFinance JPMAMS is an active, research-based manager which utilizes global fundamental research, applying quantitative valuation tools and bottom-up methods to construct portfolios. Investment decisions are based on micro-valuation insights. Their investment decisions are team-based wherein the portfolio manager typically purchases first and second quintile stocks while underweighting third, fourth and fifth quintile stocks. They diversify portfolios across sectors or regions, investing in a variety of asset classes including equities, fixed-income and alternative investments. The firm also specializes in liquidity management, investing in global and Asian money market securities particularly in USD, GBP, EUR, RMB, JPY and SGD. | Analyst-Equity | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 6 |
|---|---|
JPMorgan Asset Management (Singapore) Ltd.
JPMorgan Asset Management (Singapore) Ltd. Investment ManagersFinance JPMAMS is an active, research-based manager which utilizes global fundamental research, applying quantitative valuation tools and bottom-up methods to construct portfolios. Investment decisions are based on micro-valuation insights. Their investment decisions are team-based wherein the portfolio manager typically purchases first and second quintile stocks while underweighting third, fourth and fifth quintile stocks. They diversify portfolios across sectors or regions, investing in a variety of asset classes including equities, fixed-income and alternative investments. The firm also specializes in liquidity management, investing in global and Asian money market securities particularly in USD, GBP, EUR, RMB, JPY and SGD. | Finance |
Goldman Sachs Asset Management International
Goldman Sachs Asset Management International Investment ManagersFinance GSAMI typically employs a bottom-up approach to select stocks and base investment decisions on research derived from an understanding of local economies, the development of global relationships, face-to-face meetings and local insights. They invest in a variety of instruments including fundamental equity, quantitative equity, fixed-income, money market and alternative investments. | Finance |
Fischer Francis Trees & Watts (UK)
Fischer Francis Trees & Watts (UK) Investment ManagersFinance FFTW is an active manager which aims to opportunistically exploit structural inefficiencies that arise in global capital markets to consistently generate incremental returns relative to a passive benchmark. The firm constructs portfolios with multiple, off-benchmark risk exposures with low correlations to one another so that a single risk exposure has a limited impact on the overall portfolio. They believe that active management by market specialists located in the world's major financial centers increases return opportunities through superior security selection. In addition, they believe that total portfolio risk should be measured and controlled through the utilization of proprietary risk management tools built to specifically accommodate and enhance their investment process. FFTW's investment team consists of market specialists focusing on duration and yield curve opportunities globally, corporate credit, mortgages, asset-backed securities and foreign exchange. The firm's market specialists identify themes driving the returns in their sectors. Senior members of each market specialist team, along with FFTW's Chief Investment Officer, constitute the firm's Investment Strategy Group (ISG), which meets weekly to decide the firm's investment bias in each market sector. A dedicated Portfolio Team tailors the firm's investment strategy to each client's specific benchmark and guidelines. FFTW's proprietary analytical system for fixed-income, called PRISM, serves as the foundation of their portfolio management and risk control. | Finance |
Cork Street Capital Advisors (UK) LLP
Cork Street Capital Advisors (UK) LLP Investment ManagersFinance Cork Street utilizes a pre-event stock-specific approach targeting value stocks with growth potential. They favor long and short stock-specific opportunities that do not closely replicate market indexes. The firm targets high risk-adjusted returns on a multi-year basis. | Finance |
BNP Paribas Wealth Management (Singapore)
BNP Paribas Wealth Management (Singapore) Investment ManagersFinance BNP Paribas Singapore seeks to deliver a tailor-made experience, with outstanding attention to detail along with precise, local knowledge backed by the global know-how of a worldwide banking group covering a diverse set of solutions spanning real estate, private equity and project finance (including yachts and jets). | Finance |
Perenne Capital LLP
Perenne Capital LLP Investment ManagersFinance Provides investment advice | Finance |
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