Job Description
Responsibilities:
- Conduct global macro and financial market analysis and research on different asset classes in collaboration with the team
- Analyze key sectors in global equity and fixed income markets and form strategic/tactical views
- Stay current on market developments and geopolitical events to help frame investment strategy
- Develop regular and ad hoc/thematic investment pieces and distribute in the form of written or multimedia format to marketing staff and end clients
- Make active contribution to the team’s regular presentation and reports
Requirements:
- Degree holder in finance, economics, business administration or related disciplines. Postgraduate degree or CFA will be an added advantage
- Minimum 5 years of relevant experience in investment research or communications
- Solid understanding of financial markets and investment research
- Good knowledge of different asset classes or investment products
- Proficient in Bloomberg and Microsoft Excel
- A team player with strong communication and presentation skills
- Excellent command of written and spoken English and Chinese