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This role will be responsible for conducting in-depth analysis of the onshore and offshore macroeconomics and all kinds of assets in fixed income markets, providing timely research insights and investment recommendations to Portfolio Managers to support investment decision-making and portfolio construction, contributing to the implementation of outsourced investment strategies and investment tools, as well as the achievement of investment objectives.
Job Responsibility:
Closely monitor onshore macroeconomics, bond market, regulatory changes, etc. Promptly interpret their impact on the market and specific holdings, providing timely feedback to the investment team
Lead the outsourced strategies and investment tools research and ongoing strategy monitoring
Assist Portfolio Managers in portfolio management. Participate in portfolio reviews and discussions, providing research-based support
Other work requested
Requirements:
Postgraduate degree, CFA, and/or similar professional qualification preferred
2 - 4 years’ research experience in China onshore fixed income markets
Good knowledge and experience of the China bond markets
Excellent communication and presentation skills
Strong work ethic and with the ability to work well under pressure as a team player