Position Overview
Responsibilities:
Be responsible for the daily investment decision-making and portfolio management of public FOF products, formulate and implement asset allocation strategies, sub-fund screening and allocation plans, and be responsible for the return, risk and drawdown control of the portfolio;Dynamically adjust tactical asset allocation in combination with macroeconomics, policy trends and market sentiment to tap sources of excess return such as style rotation, industry track and alternative strategies;Interfacing with institutional clients and channels, participating in product roadshows and strategy communication.
Required Qualifications, Competencies and Skills:
Masterβs degree or above from well-known universities, finance, economics, quantitative economics, statistics, financial engineering and other related fields;5+ years of FOF/MOM investment research experience in public funds, broker AM, insurance AM or ba...