Daniel Lau

Portfolio Manager

Mr. Lau is a senior vice president and portfolio manager in the Singapore office. Prior to joining PIMCO in 2017, he was with Norges Bank Investment Management, where he managed the trading of Asian fixed income and FX and was part of the investment team overseeing these portfolios. He was previously a vice president at Barclays, responsible for market-making and taking positions in Asian emerging market credits. Mr. Lau began his career at the Monetary Authority of Singapore, where he initially crafted and implemented monetary and debt management policies and later managed global FX overlay portfolios. He has 14 years of investment and financial services experience and holds a master’s degree in financial mathematics from the University of Chicago and a bachelor’s degree from the London School of Economics.