David T. Owyong

BOCI-Prudential Asset Management

Senior Portfolio Manager

27th Floor, Bank of China Tower

1 Garden Road

Hong Kong

Hong Kong

SCHOLARLY PAPERS

5

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Scholarly Papers (5)

1.

Cointegration and Causality among the Onshore and Offshore Markets for China's Currency

Journal of Asian Economics, Vol. 41, No. C, 2015
Posted: 18 Sep 2020
David T. Owyong, Wing Keung Wong and Ira Horowitz
BOCI-Prudential Asset Management, Asia University - Department of Finance and University of Florida

Abstract:

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2.

Geopolitics in Asia and Investment Implications

Investments & Wealth Monitor, January/February 2013, pp.14-16
Posted: 09 Feb 2013
David T. Owyong
BOCI-Prudential Asset Management

Abstract:

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Geopolitics, Asia, Investments

3.

How to Kill a Black Swan: Risk and Asset Allocation in Crises

Journal of Indexes, July/Aug 2009, pp. 10-17
Posted: 07 Nov 2012
David T. Owyong
BOCI-Prudential Asset Management

Abstract:

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black swan, crisis, risk, asset allocation

4.

Risk and Style Characteristics of Chinese Funds

Journal of Investment Strategy, Vol. 5 No. 1, April 2010
Posted: 07 Nov 2012
David T. Owyong
BOCI-Prudential Asset Management

Abstract:

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risk and style characteristics, China Equity, fund managers

5.

Assessing Hedge Fund Risk in a New Era of Hedge Fund Transparency

Journal of Financial Transformation, Vol. 33, pp 121-126, 2011
Posted: 05 Nov 2012 Last Revised: 07 Nov 2012
David T. Owyong
BOCI-Prudential Asset Management

Abstract:

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