Richard joined QIC in 2005 and is responsible for Portfolio Management across the Liquid Markets Group’s cash and fixed income investments.
Richard's previous experience at QIC covers the full breadth of our fixed income capabilities. This extends from trade execution across all fixed income and currency products, to macro and micro credit research and finally various Senior Portfolio Management roles. Prior to joining QIC, Richard started his career as an analyst in the Prime Brokerage division at CSFB, in London.
Richard holds a Bachelor of Business (Banking and Finance) and a Master of Applied Finance from the Queensland University of Technology.