Tổng quan công việc
Conducting research on macroeconomic trends, financial markets, and investment opportunities.
Analyzing companies, industries, and asset classes to support investment decisions.
Developing investment reports, market insights, and portfolio recommendations.
Supporting strategic asset allocation and portfolio construction.
Processing and analyzing financial data using Python to support investment research.
Collaborating with the research team to develop Asset Intelligence and Quant Trading solutions.
Kỹ năng chính
Yêu cầu
Experience in equity investing, investment research, portfolio management, or asset allocation.
Strong analytical skills with the ability to interpret financial and market data.
Experience processing and analyzing financial data using Python.
Solid understanding of financial markets, macroeconomics, valuation, and portfolio management.
CFA Level I candidate or above is preferred.
Candidates who aspire to build a long-term career in Portfolio Management and Investment Strategy will have an advantage
Quyền lợi
Competitive base salary, negotiated based on experience,
qualifications:, and investment capability. Performance-based bonus linked to individual and company performance. Opportunity to work on Quant Trading and Asset Intelligence projects. Continuous learning and career growth in a collaborative, research-driven environment.
Thông tin bổ sung
Cfa
