Ryan Yan TONG is an experienced risk management professional with a strong background in finance and engineering. Currently serving as a Risk Manager at OKX since 2022, responsibilities include managing trading risk, portfolio margin, and the development of volatility-based order types for options. Prior to OKX, Ryan worked at AXA Investment Managers from 2019 to 2022, focusing on systematic market-neutral hedge fund strategies and analyzing portfolio risk. Ryan's career began at Standard Chartered Bank from 2010 to 2019 as a Risk Quant, specializing in market risk analytics and derivative pricing model validation. Earlier roles included positions at NXP Semiconductors and MediaTek, where Ryan contributed to research and development in wireless communication chip design. Academic qualifications include a Master of Science in Financial Mathematics from the University of Chicago, a Master of Engineering in Electrical Engineering from the National University of Singapore, and a Bachelor of Engineering in Electronics & Information Engineering from Zhejiang University.
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