Joy Chua is a seasoned professional with a strong background in finance and investment strategies. Currently serving as a Portfolio Manager at GIC since August 2014, Joy specializes in global multi-asset mandates with a focus on cross-asset derivatives. Prior experience at GIC includes a role as an Investment Analyst in the Fixed Income Department, contributing as an analyst/strategist within the Macro Research & Strategy team. Additional experience consists of internships at GIC, EY as a Research Assistant, and International Enterprise Singapore. Joy holds a Master's degree in Finance from MIT Sloan School of Management and a Bachelor's degree in Chemical Engineering from Cornell University, complemented by an academic foundation from Raffles Institution.
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