Kif Ho

associate director, Singapore Management University

Kif Ho has over 15 years of investing experience over multiple asset classes, and is passionate about global macro, venture capital and long term multi asset investing. He is a quantitative asset allocation expert who has studied extensively on competing asset allocation frameworks (traditional stock/bond, endowment, risk parity and alternative risk premia) and develops industry leading ex-ante risk tools, asset liability framework, strategic asset allocation framework for managing multi asset portfolio including illiquid and private investments. He strives to incorporate the latest quantitative techniques to improve overall asset allocation decisions, risk premium extraction and risk-adjusted outcomes to create the most modern and sophisticated endowment model in Asia.