Daniel L. is an experienced finance professional specializing in risk and portfolio management. Currently serving as Head of Enterprise Risk & Performance at GIC since April 2021, Daniel oversees total portfolio risk. Prior to this role, Daniel was a Portfolio Manager at PIMCO, focusing on global macro strategies, and held positions as a Fixed Income Trader at Norges Bank Investment Management and an EM Credit Trader at Barclays. Daniel's career began at the Monetary Authority of Singapore as a Portfolio Manager, concentrating on FX overlay and treasury management. Daniel holds an MSc in Financial Mathematics from the University of Chicago and a BSc in Economics from The London School of Economics and Political Science.
This person is not in any teams
This person is not in any offices