Brian Chan is an experienced investment professional currently serving as an Investment Associate at GIC since July 2022, focusing on Corporate Credit with a coverage area in the US TMT and Industrials/Energy sectors. Prior roles include Investment Analyst in the Fixed Income & Multi-Asset Department at GIC, where rotations included Private Credit, Japan Convertible Bonds, SRT/NAV Financing, and Macro Research & Strategy, as well as a Credit Research & Strategy Analyst position supporting Global IG & HY Credit Coverage. Previously, Brian held positions at Hovey Capital Partners Inc. as a Private Capital Advisory Summer Analyst, UBS as an Equity Research Associate, and Standard Chartered Bank as a Sales & Trading Summer Analyst. Brian holds a Master’s degree in Finance from the University of Cambridge and dual Bachelor’s degrees in Financial Economics and Mathematics & Computer Science from the University of Toronto.
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