Rahul CHADHA

Rahul CHADHA
Co-Chief Investment Officer
Years of Investment Experience
18 years
Education / Qualifications
  • BBS (Bachelor of Business Studies) - University of Delhi (India)
  • MFC (Master of Finance and Control) - University of Delhi (India)

As Co-Chief Investment Officer at Mirae Asset Global Investments (HK) Limited, Rahul helps oversee the firm's Investment Unit. He is a member of the Investment Committee and plays a key role in the development of internal investment policies, processes and key investment decisions for the firm.

Furthermore, Rahul manages a number of the firm's Asia Pacific equity and India equity portfolios, and frequently interacts with portfolio companies and investors to communicate Mirae Asset's investment philosophy and views on Asian markets.

Rahul joined Mirae Asset as a Research Analyst in April 2006. Subsequently, he was promoted to Portfolio Manager to manage the firm's India equity funds. In 2010 he began managing Asia Pacific products for Mirae Asset's US & Luxembourg domiciled funds.

Rahul began his career in financial services in 1999 as an Analyst with Dundee Mutual Funds covering India equities. He joined Aviva Life Insurance as a Senior Equity Analyst in 2003. During his time with Aviva, the unit-linked portfolios consistently outperformed the benchmark and peers. He later worked for Standard Chartered Mutual Funds as a Senior Equity Analyst before joining Mirae Asset.

Rahul holds a degree in Master of Finance and Control, a postgraduate program with specialization in Finance and a Bachelor of Business Studies, an undergraduate management program with Marketing specialization, both from the University of Delhi. He speaks English and Hindi.


Byung Ha KIM

Byung Ha KIM
Co-Chief Investment Officer
Years of Investment Experience
18 years
Education / Qualifications
  • BBA - Seoul National University (Korea)

Byung Ha Kim is Co-Chief Investment Officer at Mirae Asset Global Investments (HK) Limited following his appointment in July 2013. In addition to his duties in co-managing the firm's Investment Unit, Byung Ha is a key member of the Investment Committee where he is responsible for formulating and refining the firm's investment policies and processes. Byung Ha covers Greater China equities and is responsible for managing the firm's flagship China equity portfolios.

Byung Ha started his career as a Research Analyst at Mirae Asset's Seoul office in 1999, where he covered Korean equities. Later he was promoted to Portfolio Manager and managed retail funds and institutional mandates. From 2004 to 2005, he served as a Portfolio Manager and Strategist for the Mirae Asset Economic Research Institute, where in addition to managing segregated portfolios for institutional clients, he led and managed a team of research analysts to produce market analysis and research reports for external distribution on behalf of Mirae Asset Financial Group. He moved to Hong Kong in 2005 to take up the role of Senior Portfolio Manager and was subsequently promoted to his current position.

Byung Ha holds a Bachelor degree in Business Administration from Seoul National University in Korea. Byung Ha speaks English and Korean.


Joohee AN

Joohee AN
Senior Portfolio Manager
Years of Investment Experience
13 years
Education / Qualifications
  • BBA - Yonsei University (Korea)

Joohee An is a senior portfolio manager at Mirae Asset Global Investments (Hong Kong) Limited, where she manages Asia portfolios focusing on those sectors benefiting from the increasing domestic consumption growth, including the ‘Great Consumer' range of products.

Joohee joined the Group in 2006 in Korea, where she was an analyst covering the consumer, health care, telecoms and energy sectors at Mirae Asset Global Investments Co., Ltd. She was promoted to portfolio manager shortly afterwards.

In 2009 she was transferred to Mirae Asset Global Investments (Hong Kong) Limited to work as a portfolio manager covering regional stocks with a focus on the consumer and consumer-related sectors.

Prior to Mirae Asset Global Investment Group, she started her career at LG Securities in Seoul, where she worked as an equity analyst from 2004 to 2006.

Joohee holds a BA in Business Administration from Yonsei University, Seoul. She received award certificate from Korean Ministry of Strategy and Finance in 2014. She speaks English and Korean.


Sung Ho IM

Sung Ho IM
Senior Portfolio Manager
Years of Investment Experience
17 years
Education / Qualifications
  • BBA - Seoul National University (Korea)
  • BSA - Seoul National University (Korea)

Sung Ho Im is a Senior Portfolio Manager of Mirae Asset Global Investments (Hong Kong). He manages a number of portfolios, including China funds, Asia Pacific funds, and global emerging market funds. He is also leading the Global Investment Team in Hong Kong, managing the company's largest global fund.

Prior to joining the Hong Kong office in 2005, Mr. Im was based in Seoul office where he managed a number of Korean domestic funds, including the flagship Mirae Asset Discovery Equity Mutual Fund*.

Before joining Mirae Asset Investments in Seoul in 2002, he was an analyst with Acron Research & Investment, where he gained extensive experience in Korea's stock market.

* The fund is not authorized by the Securities and Futures Commission (SFC) of Hong Kong and is not available to the public in Hong Kong.


Sihyung Song

Sihyung Song
Portfolio Manager
Years of Investment Experience
9 years
Education / Qualifications
  • Bachelor in Finance - University of Illinois, Urbana-Champaign (USA)

Mr. Song, Sihyung is the team manager of Korea Equity Investment Team and a Portfolio Manager at Mirae Asset Global Investments since July 2013. After 6 years of working as a junior portfolio manager and investment analyst, he assisted various portfolio operations, which ranged from retail to institutional private funds.

Mr. Park started his career at Mirae Asset Global Investment in 2009 and has dedicated his tenure here in research functions of the Group, mainly focused on fundamental, bottom-up stock analysis of Korean corporations.

As a Portfolio Manager, Mr. Song manages a general growth or large cap, sector leader oriented equity funds. He also worked as an assistant PM for the Korea Equity Fund (SICAV) from July 2013 to June 2015, when Mr. Yong Deok Koo was the lead manager*. As an analyst, he covered mid to small cap stocks in Korea and also covered Holding companies and Shipbuilding sectors.

Mr. Song manages a number of Korea domiciled funds, a total of 21 funds and approximately US$ 108 million of Asset Under Management (As of February 2017). He started his career at Mirae Asset Global Investment in 2007 and has dedicated all his tenure here in Korea equity research and investment functions of the Firm.

Prior to joining Mirae Asset, Mr. Song served in the Republic of Korea Air Force for 3 years as a 1st Lieutenant, and was honorably discharged in 2007. In terms of educational background, he holds a Bachelor's degree in Finance from University of Illinois, Urbana-Champaign in the USA.


Joon Hyuk Heo, CFA

Joon Hyuk Heo
Head of Global Fixed Income Management, USA
Years of Investment Experience
18 years
Education / Qualifications
  • Bachelor of Economics - Seoul National University (Korea)
  • CFA (Chartered Financial Analyst)

As Head of Global Fixed Income Management with firm-wide responsibility for global fixed income investment and research. He became the lead portfolio manager of Mirae Asset's global fixed income portfolios in 2008. Prior to joining Mirae Asset Global Investments (USA) in 2011, Mr. Heo managed global fixed income funds at Mirae Asset Global Investments (Korea) from 2008 to 2011.

From 2006 to 2008, he served as a fixed income investment specialist at Mirae Asset Global Investments (Hong Kong). Mr. Heo joined Mirae Asset Global Investments (Korea) in 1999 as Korea local fixed income investment manager. Mr. Heo has a BA in Economics from Seoul National University (Korea), and is a Chartered Financial Analyst.


Malcolm Dorson

Malcolm Dorson
Portfolio Manager / Senior Investment Analyst, USA
Years of Investment Experience
10 years
Education / Qualifications
  • Master of Business Administration - Wharton School
  • Master of Arts in International Studies - Lauder Institute
  • Bachelor of Arts degree - University of Pennsylvania

Malcolm Dorson is a Portfolio Manager/Senior Investment Analyst focusing on the emerging markets ex-Asia. Prior to joining Mirae Asset, Mr. Dorson was an investment analyst at Ashmore Group from 2013 to 2015 where he covered Latin America. From 2009 to 2011, Mr. Dorson worked at Citigroup, as an Assistant Vice President focusing on asset management for ultra high net worth clients. Mr. Dorson began his career in 2006 as an analyst on the convertible securities team at Deutsche Bank.

Mr. Dorson holds an M.B.A. from the Wharton School, an M.A. in International Studies from the Lauder Institute, and a Bachelor of Arts degree from the University of Pennsylvania. Mr. Dorson is based in New York and is fluent in Portuguese.


Ryan Coyle, CFA

Ryan Coyle
Portfolio Manager / Senior Investment Analyst, USA
Years of Investment Experience
13 years
Education / Qualifications
  • Master of Business Administration - Columbia Business School
  • Bachelor of Arts dual degree in Economics and History - Yale University
  • CFA (Chartered Financial Analyst)

Ryan Coyle is a Portfolio Manager and Senior Investment Analyst at Mirae Asset Global Investments (USA). He serves as a portfolio manager on all of the firm's developed markets investment portfolios. As an analyst, Mr. Coyle has primary research coverage for the global consumer sectors. From 2011 to 2014, Mr. Coyle worked at Cereus Global Investors as a consumer sector research analyst. From 2009 to 2011, Mr. Coyle attended Columbia Business School studying applied security analysis and advanced investment research. From 2005 to 2008, Mr. Coyle was a consumer sector research analyst at Stadia Capital. Mr. Coyle began his career in 2003 as an investment banking analyst at Bank of America Securities.

Mr. Coyle holds an Master of Business Administration from Columbia Business School, a Bachelor of Arts dual degree in Economics and History from Yale University, and is a Chartered Financial Analyst. Mr. Coyle is based in New York.


Phil S. LEE

Phil S. LEE
Head of AP Research
Years of Investment Experience
11 years
Education / Qualifications
  • Bachelor in Economics - Seoul National University

Phil S. Lee is Head of AP Research Team at Mirae Asset Global Investments (HK). He performs an instrumental role in formulating the rigorous research process in HK together with the team.

Prior to joining Mirae Asset, Phil started his career as an Equity Analyst & Market Strategist at Daewoo Securities Korea in 2006, where he was mainly responsible for analysing equities and writing research papers on market themes. He then joined Mirae Asset Securities in Seoul the following year as a Strategist and Small Cap Analyst before moving to Mirae Asset Global Investments in Seoul in April 2008. There, he worked as an Investment Analyst covering the autos, financials and property sectors. He was later transferred to the Global Investment Team from November 2009 as a Research Analyst, before relocating to the Hong Kong office in 2010.

He earned his Bachelor's degree in Economics from Seoul National University.

Phil speaks Korean, English and Mandarin.