As a Researcher on the Investment Solutions team, Harry’s areas of expertise and responsibilities include research, validation, and localization of the market signals. His early work has included analyzing changes to the language and structure of the financial reports in predicting stock returns among the All-China Composite constituents.
Before joining Rayliant full-time, Harry had first worked for Rayliant a research intern and focused his research on market anomalies, ESG factors, and event studies in the global emerging markets. Harry has also done work on fundamental stability factors at Los Angeles Capital Management.
Harry earned his Bachelor of Commerce in Finance and Economics at the University of Toronto’s Rotman School of Management. He then completed his graduate studies in finance at the UCLA Anderson School of Management, where he obtained his Master of Financial Engineering.