Brian Yap is an experienced finance professional currently serving as a Portfolio Manager in the External Managers Department at GIC since November 2016. Prior to this role, Brian held the position of VP Investment Risk within the Macro Fixed Income division. Previous experience includes serving as a Portfolio Manager for Macro Fixed Income at Alberta Investment Management Corporation from January 2015 to September 2016 and as an Associate Portfolio Manager in Fixed Income and Currencies at CPP Investment Board from September 2009 to July 2014. Additionally, Brian began a career in finance as an Analyst in Securitization Finance at RBC Capital Markets from July 2006 to July 2008. Brian holds a Master of Science in Finance from London Business School and a Bachelor of Applied Science in Engineering Science with a specialization in Electrical Engineering from the University of Toronto.
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