Daniel L. has a diverse work experience in the financial industry. Daniel is currently serving as the Head of Enterprise Risk & Performance at GIC since April 2021. Prior to this, they worked as a Portfolio Manager at PIMCO from August 2017 to April 2021. Before joining PIMCO, Daniel held the role of Fixed Income Trader at Norges Bank Investment Management from June 2013 to August 2017. Daniel also worked as an EM Credit Trader at Barclays from June 2010 to May 2013. Daniel's career started at the Monetary Authority of Singapore (MAS) where they served as a Portfolio Manager from January 2006 to September 2009, handling FX Overlay, Treasury, and Monetary and Debt Management.
Daniel L. completed their GCE A-levels at Raffles Institution in 2000. Daniel then pursued a BSc in Economics at The London School of Economics and Political Science (LSE) from 2002 to 2005. Following this, they obtained an MSc in Financial Mathematics from the University of Chicago from 2009 to 2010.
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