Sen Zhang
Managing Partner
Sen Zhang is a professional portfolio manager specializing in the construction of Equity, Fixed Income, and Balanced portfolios that are customized to meet the specific objectives of investors. With a strong dedication to uncovering untapped value in the market, Sen Zhang conducts thorough research, performs in-depth analysis of underlying fundamentals, and maintains vigilant monitoring of the macro and microeconomic landscape.
Having obtained a Master of Business Administration (MBA) degree from Pepperdine University Business School, Sen Zhang has been actively engaged in the investment industry since 2008. They have accumulated valuable experience as an investment advisor at Global American Investment, where they adeptly managed clients’ portfolios and developed an astute understanding of risk management principles across diverse economic cycles and periods of market turbulence.
In 2010, Sen Zhang ventured into forex trading, broadening their expertise in the intricacies of the financial markets. Additionally, in 2012, they established Corrigit Capital Group with a primary focus on investing in distressed real estate.
During their tenure as a senior manager at Sunstone Management in 2015, Sen Zhang played an instrumental role in the creation and management of equity funds, including Sunstone Fixed Income Fund I, II, and Sunstone Venture Capital Fund. These funds encompassed investments in both the credit market and venture capital, effectively showcasing Sen Zhang’s proficiency in implementing diversified investment strategies.
In early 2018, Sen Zhang successfully transformed Corrigit Capital Group into an independent investment advisory firm (RIA), catering to the needs of institutional investors and high net worth individuals. The firm provides comprehensive asset management services, encompassing management advisory for funds, venture capital investments, and asset management for individual investors. Sen Zhang’s investment approach prioritizes risk diversification and the optimization of returns through the inclusion of a wide range of alternative assets.