Ivan Yeo has 23 years of experience in the finance industry, with 15 years as a risk management professional, 3 years as a proprietary trader in FX and Equities, and 5 years as a Portfolio Manager. During his 20-year stint in a Singapore sovereign wealth fund, he has developed risk management systems, managed global beta and smart beta mandates across developed and emerging markets.
In his last role, he managed a global multi-asset class mandate with tens of billions in AUM, and focused on harnessing risk premia using quantitative investment strategies.