David Tang
Master in Finance @ Chicago Booth | Portfolio Management Intern @ IIG | Prior Experience in Consulting, PE, Risk Management and Data Analysis
- Role
- Portfolio Management Intern at International Investing Group
- Location
- Chicago, IL, US
- LinkedIn followers
- 500 followers
About David Tang
I am a Finance graduate from the University of Chicago Booth School of Business with experience across asset management, private equity, market risk, credit risk, and consulting.My background combines investing, financial analysis, risk management, and quantitative problem-solving. I have developed a strong foundation in multi-asset investing, portfolio management, financial modeling, and risk analysis, while also gaining experience in consulting projects focused on industry analysis and growth strategy. In addition, I bring strong technical skills in Python and SQL to support data-driven decision-making.I am particularly interested in opportunities across asset management, investment analysis, trading, risk, controller, consulting, and data & analytics. I am currently open to full-time opportunities. Please feel free to reach out.
Experience
Portfolio Management Intern
Apr 2026 — Present · New York, NY, US
Assisted in portfolio construction across asset classes (equity, rates, credit, fx, and derivatives) and built multi-asset portfolios with expertise to determine optimal instruments to trade based on client-specific, regulatory, and market-related risk and considerations- Oversaw daily fund operations and P&L, including preparing fund performance reports and P&L commentary, and providing financial and investment updates to stakeholders; Organized partner meetings to discuss fund performance and investment strategy- Conducted research on investment strategies employed by top-performing funds; developed research briefs on market trends and macroeconomic developments, applying scenario analysis to assess potential implications for industries and equities, and produced stock pitches based on fundamental analysis, valuation, and risk-reward assessment- Followed global markets & macro in detail; conducted quantitative and qualitative analysis to assess opportunities and key risks for various fund strategies over time to help inform portfolio management decisions
Education
Károlyi Mihály Hungarian-Spanish Bilingual High School
High School Diploma (Érettségi/Bachillerato)
University of Chicago
Master of Science (MS) in Precision Health
2023 — 2024
The University of Chicago Booth School of Business
Master's degree (MiF) in Finance
UCL
Bachelor of Science (BSc) in Applied Medical Sciences
2020 — 2023
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