Melvin Chan is an experienced portfolio manager specializing in high yield and investment grade bonds. Currently, Melvin serves as a Portfolio Manager at UOB Asset Management, managing the United Asian High Yield Bond Fund, which has consistently ranked #1 among peers since early 2021. Prior to this role, Melvin was a Portfolio Manager and Investment Analyst at RHB Asset Management, overseeing a portfolio of Asia USD corporate bonds, and prepared model portfolios for potential fund launches. Earlier experience includes investment analysis for global high yield debt and distressed debt at Singapore Consortium Investment Management and fixed income research at ST Asset Management. Melvin began a career in finance with an internship at UOB Kay Hian, gaining skills in equity research and portfolio management. Melvin holds a Bachelor of Commerce in Banking and Finance and Accounting from Monash University.
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