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Hongyuan Yang

Hongyuan Yang

Portfolio Manager at Seelaus Asset Management LLC

United States

About

Hongyuan Yang is a Portfolio Manager at SEELAUS ASSET MANAGEMENT LLC, where he is responsible for overseeing investment portfolios with a focus on institutional fixed income and multi-asset strategies. He leverages a quantitative and risk-managed approach, utilizing advanced financial engineering techniques to optimize portfolio allocation and deliver consistent performance for clients.

Previously, Mr. Yang served as a Portfolio Manager at Swiss Re from 2018 to 2024, where he specialized in managing insurance company assets across fixed income and alternative asset classes, emphasizing credit, rates, and structured products. His earlier experience includes a role as Junior Trader at Gerald Group, gaining direct exposure to commodities trading and global markets.

Mr. Yang holds a Master of Engineering in Financial Engineering from Cornell University and a Bachelor's degree in Mathematics from the University of Wisconsin–Madison. His expertise spans quantitative analytics, risk management, and sector allocation within insurance-related portfolios and fixed income markets.

Career History

OrganizationRoleDate RangeDetails
R. Seelaus & Co., Inc.Portfolio ManagerJan 2024 to Present
Trade and manage agency MBS portfolio
Swiss RePortfolio ManagerNov 2018 to Jan 2024
Tactically trade rates and agency MBS for alpha generation Strategically manage the portfolio of securitized products for relative value
Gerald GroupJunior TraderFeb 2017 to Nov 2018
Guardian Life Insurance Company of AmericaSummer AnalystJul 2016 to Aug 2016
* Developed an automatic program using VBA to collect reference and bulk data of Commercial Mortgage-Backed-Securities; merge data from Bloomberg and Barclays Point into a Excel spreadsheet to assist ...
Bank of ChinaSummer AnalystJun 2014 to Jul 2014
* Led team of interns in introducing financial products to personal wealth management customers; strategically assigned multiple financial products to team members to optimize productivity * Drove tea...
Bank of China Investment ManagementSummer AnalystJul 2013 to Aug 2013
* Documented fund performance, with focus on market cap in respect to systematic risk and stocks with strongvolatility; labeled and categorized documents for daily statistics of funds’ indices * Effic...

Education

美国康奈尔大学

Master of Engineering (M.Eng.), Financial Engineering

2015 2016

美国威斯康星大学麦迪逊分校

Bachelor's degree, Mathematics

2012 2015

Others at Seelaus Asset Management LLC (8)

NameRoleLocation
C
Clifford Sterling
MBS TraderBoca Raton, FL , United States
David Mangone
David Mangone
Asset ManagerNew York, NY , United States
J
Jeffery Burdeshaw
Equity Capital Markets | Executive Vice PresidentNew York, NY , United States
K
Kenny Klein
Chief Executive Officer and Lead Portfolio ManagerNew York, NY , United States
A
Andrew Khatri
Chief Investment OfficerNew York, NY , United States
Brian Peck
Brian Peck
AnalystChatham, NJ , United States
J Peirce Daly
J Peirce Daly
Associate Portfolio Manager, VPChatham, NJ , United States
L
Lesly M.
AnalystUnited States

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