7 дней назад
Portfolio Manager (APAC Equities)
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Portfolio Manager (APAC Equities) (Beta-Neutral Strategies): Developing and implementing scalable, beta-neutral equity strategies focused on Asian markets with an accent on inefficiency research, alpha generation, and portfolio implementation. Focus on evaluating market dynamics, identifying performance conditions, and deploying strategies in a hedge fund environment.
Location: Hong Kong
Company
operates in the investment and securities sector.
What you will do
- Research and develop APAC Equities strategies from initial idea through implementation.
- Identify and capture specific inefficiencies in Asian equity markets.
- Implement scalable, beta-neutral strategies designed to generate alpha.
- Assess market dynamics and qualitatively evaluate when strategies perform well or poorly.
- Deploy and manage the strategy within a hedge fund environment.
Requirements
- 2+ years of experience as a Portfolio Manager or 4–5 years as an Assistant Portfolio Manager.
- A clearly defined, scalable strategy and investment process.
- Positive returns during the previous three years.
- A clearly defined universe focused on Asian equity markets.
- Experience with a beta-neutral framework that generates alpha in Asian equity markets.
- High attention to detail, resilience in high-pressure environments, teamwork, and the ability to achieve defined goals.
Culture & Benefits
- Work in a high-pressure investment environment.
- Collaborate with an investment team and contribute to shared goals.
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