Alex Lin, CFA, currently serves as a Portfolio Manager at GIC since January 2021, focusing on cross asset repo, swaps, securities lending, and collateral trading. Prior experience includes roles as a Portfolio Manager and Associate in Securities Finance at J.P. Morgan, where responsibilities encompassed structured solutions for the Greater China FICC market, and as an Investment Analyst Intern at OPTrust, concentrating on multi-asset strategies and algorithm development. Alex holds a Master of Financial Economics from the University of Toronto and a Bachelor's Degree in Economics and Biotechnology from the University of Waterloo, as well as a certification in Data Science from Le Wagon.
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