Asia Debt and Currency Portfolio Manager recruitment
Location: Hong Kong
Reporting line: CIO Asia
Responsibilities:
-Develop an investment process for the Asian Currency and debt universe (Sovereign and corporate), with the target to deliver a positive return above a cash benchmark.
-Conduct economic interest rate analysis of G3 and Asian currency bond markets
-Fundamental and relative value research of denominated and local currencies
-Ensure portfolio management is compliance with investment guidelines
-As part of the Asian investment team, ensure portfolios reflect the currently-held views and convictions
-Conducting bond trading or execution independently
-Research responsibility for bond issues, mainly Asian names
-Conduct related industry and company research
Requirements:
-Minimum 5 years’ of relevant experience with proven track record within Asian Fixed Income, Currencies and derivatives space
-Experience in portfolio management is desirable but not essential
-Good knowledge of fixed income market, Asian region in particular
-Strong analytical skill, both quantitatively and qualitatively
-Excellent written and spoken English and decent communication skill in Putonghua
-CFA holder will be a plus
Interested candidates please send your CV to Sin-Yin Lui at sinyinlui@puresearch.com quoting reference number SYL_PMFI or alternatively, apply online below.
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