Max Chan

Investor, Investment Office at National University of Singapore

Max Chan currently serves as an Investor at the National University of Singapore, where responsibilities include driving asset allocation and managing global investment strategies across public and private markets. Prior experience at GIC spanned nearly two decades and included key roles such as Head of Global Systematic Credit Portfolio Management, where the Global Systematic Credit business was established, and Lead Portfolio Manager for the Flagship Multi-Asset Fund. Further positions at GIC involved managing equity strategies within the Quantitative Equities Division, pioneering a Multi-Asset Beta-Neutral Strategy, and gaining comprehensive experience in an investment officer trainee role. Max Chan holds a Master of Science in Management Science & Engineering from Stanford University and a Bachelor of Science in Electrical and Computer Engineering from Cornell University.

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