Portfolio Managers-Equities and Asia Debt/Currency recruitment
Asia Debt and Currency PM
Responsibilities:
• Formulate and implement investment process especially focusing on the Asian currency and debt universe (sovereign and corporate).
• Develop key benchmarks to maintain a model portfolio based on buy and sell side decisions securities within the segment.
• Analyzing and taking views on all Asian currencies and major global currencies.
Requirements:
• Degree in finance or business discipline
• Approx 5-7 years of experience in conducting fundamental research on currencies
• Experience in portfolio management desirable
• Proven understanding of the main Asian market
• Excellent communication skills and an Asian language preferred
Equity PM
Responsibilities:
• Formulate and implement investment strategies for specific segments
• Develop key benchmarks to maintain a model portfolio based on buy and sell side decisions securities within the segment.
• Independent judgment in the rationale of all the investment process and decision.
Requirements:
• Degree in finance or business discipline
• Approx 5-7 years of experience in conducting fundamental research equities in areas such as commodities, consumers or with a country focus (Korea, Greater China, India)
• Experience in portfolio management desirable
• Proven understanding of the main Asian market
• Excellent communication skills and an Asian language preferred