The Risk Management team at Fullerton Fund Management is responsible for identifying, assessing, and mitigating risks associated with investment activities. This team implements robust risk frameworks and conducts thorough analyses across various asset classes, ensuring compliance with regulatory standards while safeguarding the firm's investments. By monitoring market trends and portfolio performance, they provide crucial insights that support informed decision-making and enhance the overall investment strategy.
Alvin Loh
Trade And Portfolio Monitoring...
Cherie Chew
Vice President Compliance
Frank (Guang Yuan)
Director, Market And Liquidity...
Nathan Zhou Cfa, Frm...
Private Market Risk Manager
Patricia Yew
Chief Risk Officer
Philippe D'Hannoncel...
Head Of Risk
Raymond Toh
Director - Investment Complian...
Roland Toh Cfa, Frm,...
Head Of Investment Risk
Siewhuey Loong
Head Of Credit Research/ Senio...
Ujwal Kumar Vellore
Risk Analyst
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