Buy side portfolio manager focused on Latin American companies with additional experience in... +5 years as an engineer (construction, transportation and consumer goods) +2 years of corporate finance. Strategy is a buy and hold (12 months), value, small cap, based on fundamentals.
Michael Pettis is a professor at Peking University's Guanghua School of Management, where he specializes in Chinese financial markets. He has also taught, from 2002 to 2004, at Tsinghua University’s School of Economics and Management and, from 1992 to 2001, at Columbia University’s Graduate School of Business.
Pettis has worked on Wall Street in trading, capital markets, and corporate finance since 1987, when he joined the Sovereign Debt trading team at Manufacturers Hanover (now JP Morgan). Most recently, from 1996 to 2001, Pettis worked at Bear Stearns, where he was Managing Director-Principal heading the Latin American Capital Markets and the Liability Management groups.
Visit: China Financial Markets (http://www.mpettis.com)
Retired from Health care and real estate development. Working 70/80 per week for more money then I could spend in many lifetimes. this looked like a poor goal in life so retired at 52. Now spend my spare time as an investor on a global basis. My approach is the same as when I owned my Companies which meant extensive research and following the economic trends. I often visit the Companies that I am investing.