DiscoverValue Investing with LegendsKim Lew - The Dynamics of Risk Management and Asset Allocation
Kim Lew - The Dynamics of Risk Management and Asset Allocation

Kim Lew - The Dynamics of Risk Management and Asset Allocation

Update: 2023-12-291
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Description

Today's discussion with Kim Lew, President and CEO of the Columbia Investment Management Company, traverses her unique journey from her roots in the Bronx to managing a prominent Ivy League endowment. Kim shares her insights on navigating the intricate world of investment management, particularly in risk management and asset allocation. With a career marked by pivotal roles at entities like the Ford Foundation and Carnegie Corporation, her expertise brings a nuanced understanding of the interplay between market dynamics and organizational strategy. This episode explores how adaptability, intellectual curiosity, and understanding global trends shape successful investment approaches.

 

Key Topics:

  • Kim's early career and transition to finance (2:59 )
  • Role at Chemical Bank and career progression (5:05 )
  • Experience at Prudential Capital and Ford Foundation (9:27 )
  • Shift to Carnegie Corporation and Columbia Investment Management (18:07 )
  • Challenges of managing a larger endowment (20:13 )
  • Aligning endowment goals with university values and ESG considerations (22:08 )
  • Comprehensive approach to risk management (26:54 )
  • Asset allocation and balancing public vs. private markets (34:06 )
  • The concept of future-proofing investment strategies (41:19 )
  • Organizational behavior in asset management (48:54 )
  • Importance of intellectual curiosity in team members (55:11 )
  • Kim’s book recommendations (1:01:01 )
  • And much more!

Mentioned in this Episode:

 

Thanks for Listening!

 

Be sure to subscribe on Apple, Google, Spotify, or wherever you get your podcasts. And feel free to drop us a line at valueinvesting@gsb.columbia.edu.

 

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Kim Lew - The Dynamics of Risk Management and Asset Allocation

Kim Lew - The Dynamics of Risk Management and Asset Allocation