Job Responsibilities 崗位職責
Examine and assess economic and market trends, factors to recommend suitable investment strategies.
Developing and implementing investment strategies that align with Fund goals.
Conducting thorough research and analysis of financial markets and investment opportunities.
Assists in constructing and managing a portfolio of investments.
Providing regular updates and reports on portfolio performance.
研究和評估經濟和市場趨勢、因素,以推薦合適的投資策略。
制定並實施符合基金目標的投資策略。
對金融市場和投資機會進行深入研究和分析。
協助構建和管理投資組合。
定期更新和報告投資組合的表現。
Basic Requirement 任職要求
Bachelor’s degree in relevant field
Relevant certificates such as CFA or CAIA are preferred.
At least 2 years of experience in related roles and industry.
Frequent in English, Cantonese, and Mandarin.
相關專業的學士學位
持有 CFA 或 CAIA 等相關證書者優先。
至少 2 年相關職位和行業工作經驗。
精通英語、粵語和普通話。
Interested parties, please apply the job via WeChat :job853Yco