Profile
Mr. Susumu Okamura is President at UBS Global Asset Management.
Prior to taking on this role, he was Head of the Institutional Marketing and Products.
Before joining UBS in November 2005, he worked for 20 years for Dai-Ichi Mutual Life Insurance Company and its subsidiaries.
In 2000, he was named the President & CEO of the US division of DIAM Co., Ltd. He has worked in global credit research and forex trading, has strong international management experience and a wide-ranging network in Japan’s financial sector.
He graduated from Columbia University in 1994 with a Master of Business Administration, and from University of Tokyo in1985 with a Bachelor of Law.
Former positions of Susumu Okamura
| Companies | Position | End |
|---|---|---|
UBS Asset Management (Japan) Ltd.
UBS Asset Management (Japan) Ltd. Investment ManagersFinance UBS AM-JP is an active, long-term manager that follows a resolutely bottom-up investment process and relies on extensive research to select companies based on their growth and value potential. Stock selection and sector diversification contribute to risk management. Research is shared within the parent group, and includes an extensive program of company visits. The firm invests in Japanese companies globally, targeting companies with sustainable business models and attractive intrinsic value. They are primarily managers of equity, fixed-income and balanced strategies. | President | 2013-12-31 |
KJR Management KK
KJR Management KK Real Estate Investment TrustsFinance Functions as real estate investment trust | Director/Board Member | - |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
Female
Members of the board
Executives
Linked companies
| Private companies | 2 |
|---|---|
UBS Asset Management (Japan) Ltd.
UBS Asset Management (Japan) Ltd. Investment ManagersFinance UBS AM-JP is an active, long-term manager that follows a resolutely bottom-up investment process and relies on extensive research to select companies based on their growth and value potential. Stock selection and sector diversification contribute to risk management. Research is shared within the parent group, and includes an extensive program of company visits. The firm invests in Japanese companies globally, targeting companies with sustainable business models and attractive intrinsic value. They are primarily managers of equity, fixed-income and balanced strategies. | Finance |
KJR Management KK
KJR Management KK Real Estate Investment TrustsFinance Functions as real estate investment trust | Finance |
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