Responsibilities:
- Responsible for tracking and researching market trends, writing investment analysis reports, and identifying trading opportunities in the stock market.
- Responsible for formulating stock investment portfolio strategies and executing investment operations.
- Conduct research and tracking on investment instruments, and dynamically adjust investment portfolios based on market changes and feedback.
- Actively participate in industry and channel communications, and communicate and coordinate various resources.
- Assist the marketing department in maintaining good relationships with clients and channels.
Qualifications:
- Hold a full-time Master's degree or above, majoring in Finance, Economics, or related fields.
- Possess 3 years or more of independent bond fund management experience, with a track record of publicly traceable investment performance.
- Familiar with bond market and investment management, with excellent research, analysis, and judgment abilities.
- Demonstrate outstanding abilities in independent thinking, logical reasoning, information analysis, and sensitivity to dynamic market changes.
- Priority given to candidates with rich funding resources.
- Excellent interpersonal communication skills, strong teamwork ability, cooperative spirit, and a strong sense of responsibility towards work.