Eric G. Chan, CFA

Head of Global Derivatives and Structuring, Insurance Asset Management

Eric Chan is a Managing Director and head of global derivatives and structuring within the Insurance Asset Management group at MetLife Investment Management (MIM). He is responsible for institutional derivatives hedging, including advising, executing, managing and structuring solutions for insurance clients.

Eric joined MetLife in 2009. He began on the derivatives desk in 2014 as a trader. Prior to that he was a credit strategist focusing on developing the top-down credit strategy outlook across MetLife’s U.S. investment grade and high yield portfolios. Eric began at MetLife in the Credit Strategies group, where he focused on quantitative credit research. Prior to joining MetLife, he spent two years at Capital Group Companies within the fixed income group. Prior to Capital Group Companies, Eric spent six years in management and technology consulting as a senior consultant at CGI Group.

Eric holds an M.S. in management and engineering from the Massachusetts Institute of Technology, and a B.A. in economics and B.S. in business administration from the University of California, Riverside. He is a CFA® charterholder.