Responsibilities
- Be a key contributor of the management of our China Equity exposure (A/H/ADR). This includes building cross-sector investment expertise and relationships, analyzing companies and providing alpha-generating stock ideas
Requirements
- Minimum 8 years of experience working in the fund management industry as a Portfolio Manager / Analyst covering Hong Kong, China onshore/offshore equities. Knowledge of the Taiwan equity market would also be a plus
- To possess at least 5 years investment experience in managing public funds with reputable institutions as a named Portfolio Manager / Co-Portfolio Manager
- Fluency in Mandarin/Cantonese/English (both spoken and written) is required