Pearline Chen is a seasoned financial professional with extensive experience in portfolio risk management and quantitative analysis. Currently serving as a Portfolio Risk Manager at Bank of Singapore Wealth Management Malaysia, she plays a crucial role in overseeing risk strategies and optimizing portfolio performance.
With a strong foundation in financial modeling, equity research, and fund management, Pearline has built an impressive career spanning over a decade. Prior to her current role, she was a Quantitative Risk Manager at Hong Leong Asset Management Bhd, where she specialized in risk assessment and investment strategies. She also held key positions at LIBRA INVEST BERHAD, first as an Equity Analyst and later as a Fund Manager, managing multi-asset portfolios and driving investment decisions.
Her journey in the financial sector began at ECMLibra Investment Bank, where she worked as a Management Trainee, gaining valuable insights into investment banking.
Pearline holds a Master’s degree in Mathematics from the University of St. Andrews, equipping her with strong analytical and quantitative skills. Fluent in multiple languages, including English, Mandarin, Malay, Cantonese, and Hakka, she brings a global perspective to financial markets.
With a passion for risk management and investment strategies, Pearline continues to contribute to the evolving landscape of wealth management in Southeast Asia.