Philip Gao is a seasoned portfolio manager and researcher at Bayview Asset Management, LLC, since June 2012. Prior to this role, Philip served as an actuarial analyst at Munich Reinsurance Company of Canada from January 2008 to August 2009. Educationally, Philip holds a Master of Finance from the MIT Sloan School of Management, along with a BMath in Mathematics from the University of Waterloo and a BBA in Finance from Wilfrid Laurier University.
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