Associate Equity Portfolio Manager – Asian Markets

Nomura

Singapore

On-site

SGD 180,000 - 240,000

Full time

3 days ago
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Job summary

Nomura in Singapore seeks an experienced asset management professional to perform equity research and support portfolio construction for Asian equities. You will analyze macro factors, collaborate with portfolio managers in Singapore and Tokyo, and contribute to performance reporting.

Candidates should have 5–8 years in asset management, strong English and Japanese proficiency, and familiarity with Bloomberg and CR-IMS. This role is based in Singapore and offers scope for regional collaboration.

Qualifications

  • 5 to 8 years of experience in asset management.
  • Demonstrated expertise in equity research across diverse industry sectors.
  • Experience in macro/market analysis and equity FX analysis.
  • Experience in quantitative research focused on alternative data with collaboration from quantitative analysts.

Responsibilities

  • Perform equity research and analysis across industries, and advise portfolio managers in Singapore and Tokyo using relative value analysis.
  • Assist portfolio construction and daily management for Asian equities and monitor key macro factors and regulatory changes.
  • Contribute to active management of Asian equity portfolios and tailor solutions for funds with different characteristics.
  • Prepare draft periodic and ad-hoc performance and portfolio analysis reports for senior managers.
  • Leverage product management experience in global equities, fixed income, and Japanese equities; engage with overseas clients and communicate performance.
  • Gather expertise on related markets and assist decision-making with insight into Asia and global equity contexts.

Skills

Asset management
Equity research
Macro/Market analysis
Quantitative research
English & Japanese fluency

Education

Bachelor’s degree or equivalent
CFA or CMA accreditation (advantage)

Tools

Bloomberg
CR-IMS
Excel
VBA

Job description

Nomura in Singapore seeks an experienced asset management professional to perform equity research and support portfolio construction for Asian equities. You will analyze macro factors, collaborate with portfolio managers in Singapore and Tokyo, and contribute to performance reporting.

Candidates should have 5–8 years in asset management, strong English and Japanese proficiency, and familiarity with Bloomberg and CR-IMS. This role is based in Singapore and offers scope for regional collaboration.

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