Portfolio Manager – Debt | Currency – Hong Kong, APAC recruitment
The Portfolio Manager of the debt and currency segment, will report to the Chief Investment Officer, and be responsible for:Developing an investment process for the Asian currency and debt universe (sovereign and corporate), which is able to deliver a positive return above a cash benchmark.Creating and maintaining a model portfolio for management of assets with an absolute return cash benchmark to meet a target return objective.Taking all buy and sell decisions of securities within the segment, subject to risk and portfolio constraints.Justify the rationale of the investment process and the rational Read more […]