Wiehan Dul is an Investment Analyst with expertise in macroeconomics, quantitative finance, and portfolio construction. He has extensive experience in investment portfolio performance measurement, attribution, and contribution analysis, alongside asset manager due diligence and selection. Wiehan specializes in building rigorous capital market assumptions and quantitative models that translate complex macroeconomic trends into actionable, forward-looking insights. By combining data-driven analysis with strategic foresight, he supports robust portfolio construction, tactical asset allocation, and risk management decisions designed to navigate market cycles and capture long-term opportunities.
Investment & Portfolio Management
Macroeconomics & Research
Quantitative & Technical
Professional Engagement