Fixed Income Portfolio Manager
Key Responsibilities
- Develop and manage bond investment strategies to improve portfolio performance.
- Review market trends and economic data to understand risks and make informed decisions.
- Monitor global economic, political, and market changes, and adjust the portfolio when needed.
- Prepare clear reports on investment results for internal teams and investors.
- Contribute to team leadership programs, supporting team development and overall growth.
Requirements
- Minimum of 5 years of experience in fixed income or money market public fund management.
- Strong analytical skills and sound decision‑making ability.
- Good communication skills in both English and Chinese.
- Experience as a key person or leader in public fund management is preferred.
FAQs
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