Portfolio Manager (KIP) - Equity
hong kong
Responsibilities:
Be responsible for equity portfolio management;
Formulate and develop investment strategies to identify investment opportunities for the management of investment portfolio;
Participate in fund and designated clients' product management, and involve in daily tracking of portfolio performance;
Be able to conduct investment analysis independently and responsible for fund and designated accounts' management;
Ensures trade executions are in compliance internal investment guidelines, fund investment restrictions, and risk measure requirements from risk department;
To provide portfolio review on semi-annual/ annual reports for senior management/ clients review;
Comply with the requirements of all company investment management principles and regulations.
Requirements:
Bachelor Degree or above;
Preferred with CFA or Auditing background;
At least 7 years of relevant experience in Public Fund;
Existing KIP or has 5 years or above KIP experience is necessary;
Be capable in conducting industry and company analysis independently;
Be able to work with target company, brokerage firms, sales team and clients to conduct effective verbal and written communication;
Be able to analyze and respond quickly to the emergencies and unexpected events;
Attention to details;
With strong sense of risk management;
With team spirits and collaboration;
With high work efficiency & independency;
Be conversant both in English and Chinese.