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Experts

Rick Chan

Portfolio Manager, Global Macro Hedge Fund Strategies
Mr. Chan is a managing director and portfolio manager in the Newport Beach office, focusing on PIMCO’s global macro hedge fund strategies and relative value trading in interest rates. He is a member of the Americas Portfolio Committee and has served as a rotating member of the Investment Committee. Prior to joining PIMCO in 2014, he was a managing director and head of interest rate derivatives trading at Merrill Lynch. He has 22 years of investment experience and holds an undergraduate degree in commerce with a specialization in finance from the University of British Columbia, Vancouver.
Investment Strategies

Deep uncertainty and market volatility provide fertile ground for macro hedge funds that can monetize not just the trends, but the volatility around the trends.

Blog

U.S. yields surged to begin 2022 as financial markets gird for central banks to begin tightening monetary policy.

Blog

Uncertainties that caused U.S. Treasuries to rally and yield curves to undulate in November may persist and could contribute to volatility into year-end.

Blog

The volatility that has roiled short-term bonds signals a shift in expectations for central bank policy in developed markets.

Blog

Market participants have been hesitant to accept SOFR as the successor to Libor, but uniting around a single reference rate is increasingly important to keep benchmark markets from becoming fragmented.

Blog

As regulators push to transition away from Libor, sales of Treasuries linked to the successor rate could boost the new benchmark’s credibility and expand nascent markets for related debt and derivatives.

Blog

The expiration of the temporary SLR changes should enhance the soundness of the banking system, but likely at the cost of Treasury market liquidity.

Viewpoints

Markets largely held up in last year’s liquidity crunch, but we believe policymakers should address a few soft spots.

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