Mr. Chan is an Analyst on the Global Asset Allocation team. He is responsible for derivatives and volatility strategy, including tail-risk hedging, as well as conducting quantitative research and assisting in portfolio construction for the U.S. stock selection process. Mr. Chan is also a Portfolio Manager of Putnam Low Volatility Equity Fund and Putnam Strategic Volatility Equity Fund. Mr. Chan has been in the investment industry since he originally joined Putnam as an Investment Associate in 2003. He rejoined the firm after completing his M.B.A.
|Putnam Investments||Investment Associate||2003-2006|
|Putnam Investments||M.B.A. Summer Intern||2007|