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Unicorn Advisor (HK) Limited
Hong Kong, Hong Kong SAR
(on-site)
Posted
25 days ago
Unicorn Advisor (HK) Limited
Hong Kong, Hong Kong SAR
(on-site)
Job Type
Full Time
Industry
Other
Job Function
Other
Equity Portfolio Manager
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Equity Portfolio Manager
The insights provided are generated by AI and may contain inaccuracies. Please independently verify any critical information before relying on it.
Description
Responsibilities:- Developing and executing investment strategies in the Hong Kong equity secondary market, including market analysis, stock selection, trade decision-making, and portfolio management.
- Conduct in-depth research on Hong Kong market dynamics, analyzing macroeconomic trends, industry developments, and company fundamentals to support investment decisions.
- Manage investment portfolios, monitor market risks, and ensure the achievement of investment objectives with effective risk control.
- Maintain close communication with research, trading teams to coordinate the implementation of investment strategies.
- Prepare regular investment reports, providing market insights and investment recommendations to senior management and clients.
- Track innovative market products and investment opportunities, exploring new investment strategies and tools.
Requirements:
- A bachelor's degree or higher in finance, economics, business administration, or a related field.
- Familiar with the Hong Kong, U.S., and A-share markets.
- At least 10 years of experience in Hong Kong equity secondary market investing, with proven ability to independently manage investment portfolios. Proven track record of successful secondary market investment performance.
- Strong understanding of Hong Kong market rules and trading mechanisms, coupled with solid skills in macroeconomic analysis and company fundamental research.
- Excellent risk management awareness, with the ability to formulate and execute effective risk control strategies.
- Strong communication and teamwork skills, capable of collaborating effectively with research, trading teams.
- Fluency in written and spoken Chinese (Cantonese, Mandarin) and English.
- Holders of CFA, FRM, or other relevant professional qualifications are preferred.
- Experience in quantitative investing or in-depth knowledge of ESG (Environmental, Social, and Governance) investing is an advantage.
Job ID: 80551346
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