Richard Bullock
Director Global Macro and Asset Allocation SingaporeRichard Bullock, CFA (Singapore) joined KKR in 2025 and is a member of the Global Macro and Asset Allocation team, where he advises deal teams in Asia across private equity, credit and real assets on the macroeconomic factors shaping investment decisions. Drawing on this cross-asset perspective, he helps translate the global economic outlook into actionable views on risk, positioning and relative value. Prior to joining KKR, Mr. Bullock spent a decade at BNY Mellon Investment Management, where he most recently served as macro strategist and portfolio manager for the Newton multi-asset team in Singapore. Earlier in his career, he held investment roles at Santander Asset Management, Sarasin and Partners, and JP Morgan Asset Management, based in London. Mr. Bullock holds a BSc in International Business from Warwick University, an MSc in Economic History from the London School of Economics, and an ALM in International Relations from Harvard University, where he was awarded a Dean's Academic Award.