GIC
Mathias Valtl is a PEG Portfolio Manager at GIC since July 2022, focusing on managing and optimizing the balance sheet through collateral and FX swap trades. Prior experience includes roles at UBS as a market maker in Securities Lending and Financing for Fixed Income and Equity products, and at Credit Suisse in Equity Derivatives Structuring, where collaboration enhanced structured product development. Further experience encompasses sales at Goldman Sachs in Equity Derivatives, corporate finance at Celesio AG with a focus on cash forecasting and database integration, and group controlling at DZ BANK AG, contributing to daily PnL and risk report generation. Mathias holds a Master of Arts in Banking and Finance from the University of St.Gallen and a Bachelor of Science in Finance from the University of Tübingen, along with studies at Universidad de Oviedo and The University of Queensland.
GIC
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Established in 1981 to manage Singapore's foreign reserves, GIC strives to achieve good long-term real returns on assets under their management to preserve and enhance the value of Singapore's reserves. GIC has investments in over 40 countries and are headquartered in Singapore, with 10 offices in key financial cities worldwide.