Roy J. Hansen

Portfolio Manager, Insurance Asset Management

Roy Hansen is a managing director and portfolio manager within the Insurance Asset Management group at MetLife Investment Management (MIM). He is responsible for directing the tactical asset allocation of both public and private fixed income assets for affiliated portfolios. In addition to his affiliated investment responsibilities, Roy serves as a portfolio specialist for MIM’s insurance clients.

Prior to joining MetLife in October 2006, Roy worked at Merrill Lynch Investment Management for eight years in their Fixed Income division, where he was a portfolio manager and senior trader for the U.S. Investment Grade corporate desk. Before his portfolio management role in credit, Roy was a senior trader for the Institutional Money Market Fund team. Prior to his tenure at Merrill Lynch, Roy spent six years on a foreign exchange institutional sales and trading desk where he actively participated in the execution of corporate and hedge fund currency transactions, acting both as a market-maker at Lehman Brothers and an intermediary at Carr Futures.

Roy received a Bachelor of Arts degree from Dickinson College.