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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.