Profile
Mr. Wataru Araiso, CFA, is a Managing Director & Senior Investment Strategist at AllianceBernstein Japan Ltd. He co-heads the Investment and Product Strategy Department at AB Japan, leading business development and product management for fixed-income services in Japan.
He also heads the Portfolio Strategy Office and is responsible for fiduciary duty pertaining to Japan-domiciled investment trusts.
He joined the firm as a fixed-income product manager in 2017.
Previously, Mr. Araiso worked as a Senior Fund Manager for global fixed-income and money-market funds at a Japanese asset-management firm.
He holds a BA in commerce from Hitotsubashi University and an MBA from the University of Oxford.
He is a CFA charterholder and a certified member analyst of the Securities Analysts Association of Japan.
Wataru Araiso active positions
| Companies | Position | Start |
|---|---|---|
AllianceBernstein Japan Ltd.
AllianceBernstein Japan Ltd. Investment ManagersFinance AB Japan is a research-oriented manager which follows a growth-and-value investment approach. The firm invests globally in equity and fixed-income with a focus on Japan, Asia and the US. Their investment process emphasizes bottom-up stock-picking based on in-house fundamental research, supplemented with quantitative analysis. AB Japan's fixed-income investment approach is top-down, based on a macroeconomic view as well as interest rate trend and yield curve analysis, supplemented with quantitative modeling. The investment process starts with global asset allocation and aims at exploiting market inefficiencies. | Market Strategist | 01/08/2017 |
Former positions of Wataru Araiso
| Companies | Position | End |
|---|---|---|
Daiwa Asset Management (Europe) Ltd.
Daiwa Asset Management (Europe) Ltd. Investment ManagersFinance Daiwa AM-Europe is an active, research-driven manager which follows a GARP-oriented investment approach with a medium- to long-term investment horizon. The firm seeks to exploit market inefficiencies, investing globally in bonds, money market instruments, commodities and derivatives. Their investment approach emphasizes economic and market research. They conduct in-house fundamental and technical analysis to identify markets and companies that are undervalued in spite of their perceived growth prospects. Stock selection is based on a combination of qualitative research and quantitative analysis using valuation models. | Analyst-Equity | 06/07/2007 |
Experiences
Positions held
Active
Inactive
Listed companies
Private companies
Connections
1st degree connections
1st degree companies
Male
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Members of the board
Executives
Linked companies
| Private companies | 2 |
|---|---|
AllianceBernstein Japan Ltd.
AllianceBernstein Japan Ltd. Investment ManagersFinance AB Japan is a research-oriented manager which follows a growth-and-value investment approach. The firm invests globally in equity and fixed-income with a focus on Japan, Asia and the US. Their investment process emphasizes bottom-up stock-picking based on in-house fundamental research, supplemented with quantitative analysis. AB Japan's fixed-income investment approach is top-down, based on a macroeconomic view as well as interest rate trend and yield curve analysis, supplemented with quantitative modeling. The investment process starts with global asset allocation and aims at exploiting market inefficiencies. | Finance |
Daiwa Asset Management (Europe) Ltd.
Daiwa Asset Management (Europe) Ltd. Investment ManagersFinance Daiwa AM-Europe is an active, research-driven manager which follows a GARP-oriented investment approach with a medium- to long-term investment horizon. The firm seeks to exploit market inefficiencies, investing globally in bonds, money market instruments, commodities and derivatives. Their investment approach emphasizes economic and market research. They conduct in-house fundamental and technical analysis to identify markets and companies that are undervalued in spite of their perceived growth prospects. Stock selection is based on a combination of qualitative research and quantitative analysis using valuation models. | Finance |
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