PORTFOLIO MANAGER – ASIAN EQUITIES recruitment
• Buy side Opportunity
• Financials (Banks) / India / Korea / Consumers sectors
Your main task is to manage the Asian equities portfolios both from a long only and an absolute return basis, and to deliver a sustainable positive return. Your key responsibilities will be to create and maintain a model portfolio for management of assets with an absolute return cash benchmark to meet a target return objective; develop investment processes on the Asian equities; make all the buy and sell decisions of securities within the sector of coverage, conduct investment analysis and company research, based on fundamental bottom up research.
To qualify, you must have:
• 8 years of continuous experience as a sell side equity analyst with reputable investment bank and/or investment analyst/ portfolio manager with asset management firm in Asia.
• A specialist in two or more of these markets/ sectors - Financials/ Banks, India, Korea, and Consumer sectors.
• Must speak fluently in any one Asian languages and currently working/ based in the Asia region in order to demonstrate a complete local knowledge in Asia.
To apply for this job
Contact: Bryan Lim quoting job ref: VSA-1058
Telephone: 852 - 2297 2346
Email: blim@valuesearchasia.com