Martin X. is a seasoned finance professional with extensive experience in portfolio management and trading. Currently, as a Portfolio Manager at GIC since August 2019, Martin X. specializes in liquidity and funding book management, US/Canada money market investments, and non-deliverable forward book management focused on Latin American foreign exchange. Prior to GIC, Martin X. served as a Money Market Trader at MUFG from September 2016 to July 2019, where responsibilities included managing a range of short-term debt instruments and derivatives. Earlier experience includes a role as a Quantitative Analyst at State Street from January 2015 to August 2016, concentrating on market risk within securities lending. Academically, Martin X. holds a Master's Degree in Mathematical Finance from Boston University and dual Bachelor's degrees in Business Administration and Law from China University of Political Science and Law.
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