Dynamic Multi-Asset Portfolio Manager: Macro & Derivatives

Leadingnation

Hong Kong

On-site

HKD 600,000 - 900,000

Full time

14 days+
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Job summary

A leading investment firm in Hong Kong is seeking an experienced Multi-Asset Portfolio Manager with 3-5 years of relevant experience. The role involves developing and leading investment strategies, conducting comprehensive research on various asset classes, and managing investment portfolios. The ideal candidate should possess a master's degree, proficient macroeconomic analysis skills, and fluency in both English and Chinese. This role promises a dynamic environment focusing on strategic asset allocation and risk management.

Qualifications

  • Minimum of 3 years of experience in portfolio management or related fields.
  • Extensive macroeconomic analysis and market forecasting skills.
  • Proven expertise in public fund investments and structured products.
  • Strong research skills focused on hedge fund strategies and derivatives.
  • Ability to excel in a dynamic and fast-paced environment.

Responsibilities

  • Develop and lead investment strategies based on macroeconomic insights.
  • Conduct research on hedge funds, public funds, and diverse asset classes.
  • Manage investment portfolios with a focus on market data integration.
  • Evaluate market opportunities in public funds and structured products.
  • Perform risk assessments to optimize portfolio performance.
  • Monitor economic indicators for timely investment decisions.
  • Collaborate with the team on investment activities.
  • Prepare and present investment recommendations to stakeholders.

Skills

Portfolio management
Macroeconomic analysis
Research skills
Fluency in English
Fluency in Chinese

Education

Master's degree

Job description

A leading investment firm in Hong Kong is seeking an experienced Multi-Asset Portfolio Manager with 3-5 years of relevant experience. The role involves developing and leading investment strategies, conducting comprehensive research on various asset classes, and managing investment portfolios. The ideal candidate should possess a master's degree, proficient macroeconomic analysis skills, and fluency in both English and Chinese. This role promises a dynamic environment focusing on strategic asset allocation and risk management.
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