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Adrian Ng

Hedging and Capital Markets

Real Estate | Kennett Square, PA


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About Adrian

Adrian Ng is Director, Hedging and Capital Markets on Chatham’s Real Estate team. Adrian works with some of the largest real estate managers in currency and interest rate hedging. Specifically, Adrian has strategic discussions with managers and partners, formulates risk management policies and processes, provides industry color and best practices, answers investor questions, performs advanced risk analyses and gap studies, guides clients toward optimal solutions, and structures and executes their hedges.

Prior to moving to the U.S., Adrian was based in Singapore, serving private equity clients in Asia Pacific, and he was a monetary policy economist at the Monetary Authority of Singapore. Adrian graduated from Dartmouth College with a degree in economics and earned a Master in Business Administration and a Master of Science in Business Analytics from the Indiana University Kelley School of Business. Also, Adrian is a CFA charterholder and a Certified FRM.



Semiannual Market Update for Real Estate

As we near the end of 2021, real estate investors continue to face significant uncertainties. Will COVID-19 variants lead companies to delay or modify return-to-office plans? What if inflationary pressures persist — will the Federal Reserve's hand be forced to raise rates sooner? How do the...
Market Update

Rising yields and a steepening curve — U.S.

  • Fiscal & Monetary Policy
Longer-duration yields have risen and the yield curve has steepened in a hurry. 10-year yield touched 1.55% on February 25. The last time it crossed 1.50% was a year ago before the COVID-19 pandemic. The 10-year yield fell below 0.60% on March 9, stayed around 0.60-0.70% for months till...
Market Update

The Federal Reserve adopts average inflation targeting

  • Fiscal & Monetary Policy
The Fed has adopted a “flexible form of average inflation targeting” that aims for inflation rate to average 2% over time. Under this framework, the Fed funds rate will likely stay low for longer. Also, there will be an elevated emphasis on the maximum employment objective of the dual mandate.


  • Real Estate
  • Foreign Currency Risk Management
  • Interest Rate Risk Management


  • Chartered Financial Analyst (CFA)
  • Financial Risk Manager (FRM)
  • Corporate Certificate in Real Estate Financial Analysis from the NYU Schack Institute of Real Estate
  • Master of Business Administration (MBA)
  • Master of Science in Business Analytics

Related Team Members

  • Rob Mangrelli

    Managing Director
    Hedging and Capital Markets

    Real Estate | Kennett Square, PA

  • Lauren Ramsey

    Hedging and Capital Markets

    Real Estate | Kennett Square, PA

  • Matt Burgess

    Hedging and Capital Markets

    Real Estate | Denver, CO

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