Roles & Responsibilities
Conduct in-depth research on various market asset, including equities, fixed income, derivatives, and create and refine investment strategies.
Identify potential risks associated with investments and implementing strategies to mitigate those risks.
Regularly assess the performance of the portfolio and make adjustments as necessary to align with market changes and investment goals.
Communicate with clients about portfolio performance, market outlook, and strategic decisions.
Qualifications
· Degree in finance / business from top university
· Working Experience in fund management company with proven track record of portfolio management
· Excellent communication skills in both English & Chinese to deal with potential clients