Mathias Valtl is a seasoned financial professional with extensive experience in portfolio management, securities lending, and equity derivatives. Currently serving as a PEG Portfolio Manager at GIC since July 2022, Mathias specializes in managing and optimizing balance sheets through collateral and FX swap trades. Prior to this role, Mathias held various positions at prominent financial institutions, including UBS, where responsibilities encompassed market making in fixed income and equity products, and trading collateral swaps for government and corporate bonds. Experience at Credit Suisse involved streamlining product development in equity derivatives, while roles at Goldman Sachs and Celesio AG focused on sales, trading structured products, and enhancing corporate finance systems. Mathias holds a Master of Arts in Banking and Finance from the University of St.Gallen and a Bachelor of Science in Finance from the University of Tübingen, with additional studies at Universidad de Oviedo and The University of Queensland.
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