Profile
Mr. Stefan T.
Tang, CFA, is a Director, Portfolio Manager & Analyst at Lazard Asset Management LLC.
He is on the Lazard Systematic Equity team.
He began working in the investment field in 2005.
Prior to joining Lazard in 2019, Mr. Tang was a Co-Founder & Managing Partner with Baylight Capital.
Prior to Baylight, he was a Founding Principal & Portfolio Manager at QM Capital, a fintech company founded in 2005.
Prior to QM, he was a PhD candidate in Computational Mathematics at Stanford University.
Prior to Stanford, Mr. Tang worked as a Software Developer in Germany where he developed algorithms for e-procurement applications.
He has a Master’s Degree in Computational Mathematics from Stanford University and a Diploma in Computer Science from the Technical University of Berlin.
He is a CFA charter holder.
Stefan Tang active positions
| Companies | Position | Start |
|---|---|---|
Lazard Asset Management LLC
Lazard Asset Management LLC Investment ManagersFinance LAM offers products across a broad spectrum of asset classes, designed for different client types. The firm’s traditional and alternative investment services cover listed equity and fixed income investments in a wide range of global, regional and country specific strategies. Risk management is integral to their portfolio construction. They rely heavily on fundamental, bottom-up investment research. | Analyst-Equity | 2018-12-31 |
Experiences
Positions held
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Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
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Members of the board
Executives
Linked companies
| Private companies | 1 |
|---|---|
Lazard Asset Management LLC
Lazard Asset Management LLC Investment ManagersFinance LAM offers products across a broad spectrum of asset classes, designed for different client types. The firm’s traditional and alternative investment services cover listed equity and fixed income investments in a wide range of global, regional and country specific strategies. Risk management is integral to their portfolio construction. They rely heavily on fundamental, bottom-up investment research. | Finance |
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