ASIAN EQUITY RESEARCH ANALYST

Based in Hong Kong, you will be focusing on the Hong Kong and China markets.   Main duties of this role include, to develop, maintain and enhance a general knowledge of investment theory and its application to portfolio construction, to understand the different model portfolios for which you are responsible – the client objectives, risk parameters and turnover constraints for these portfolios and their part in any wider multi-asset mandates, to provide view on investment strategies, opportunities and ideas for the Hong Kong and China region; perform research on the markets for the purpose of making investment recommendations for a long term portfolio based on fundamentals and eventually managing and investing in portfolio allocated for these markets.

To qualify, you will be a degree holder with at least 3 years of equities research / fund management experience gained with an asset management company or investment bank. Solid experience and exposure to the Hong Kong and China equity markets is a must, with focus in research in commodities/industrial and materials, and prior exposure to other Asian markets will be an advantage. You will be independent thinker, skeptical and curious and possess excellent analytical skills and strong business sense at macro and micro level. Fluency in English and Mandarin is a must.

Interested applicants should send a detailed resume to Simone Wong by email to swong@ric.com.hk or by fax to (852) 2838 3323 quoting reference eFC2097.

(Applicants not contacted within 4 weeks should consider their application unsuccessful.)

April 9, 2013 • Tags:  • Posted in: Financial

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