Our client, a leading asset management firm is seeking an FOF Portfolio Manager to join their HK office (focusing on U.S. and European markets).
Key Responsibilities:
- Manage the companys flagship FOF. formulating and executing global asset allocation strategies.
- Construct, optimize, and dynamically manage a diversified fund portfolio to ensure investment performance aligns with established objectives.
- Collaborate with global prime brokers, private banks, and other financial institutions to facilitate fund product listing and ongoing marketing efforts.
- Communicate investment strategies, performance results, and market insights to clients.
Requirements:
- Masters degree or higher from a globally top-tier university in Finance, Economics, Business, or a related field.
- Direct FOF management experience at a renowned asset management firm; or previous leadership experience in fund selection, product listing, and partnership divisions at an investment bank or securities firm.
- Extensive high-quality overseas fund resources, with in-depth familiarity and focus on fund managers of Western descent specializing in U.S. and European equity strategies.
- Clear, mature investment philosophy, strategic framework, and independent fund selection methodology.
- Proven track record of consistent and robust investment performance, with an average annualized portfolio return exceeding 9%.
- Unwavering commitment to the highest ethical standards, integrity, and exceptional communication and teamwork skills.
- Native-level in Mandarin and proficiency in English.