Our client, a Hong Kong-based asset management firm and family office, is seeking a Multi Asset Portfolio Manager/Quantitative Fund Manager.
Requirements:
- Hold a masters degree or higher from a globally top-tier university, with a background in finance, economics, business, or related fields.
- Possess quantitative strategy experience or asset allocation experience at a renowned asset management firm.
- Have extensive and high-quality overseas fund resources, with deep familiarity and focus on European/American fund manager teams and their U.S./European equity investment strategies.
- Demonstrate clear and mature investment philosophy, strategic framework, and independent fund selection logic.
- Maintain a consistent and robust track record of excellent investment performance, with an average annualized return of over 9% for previously managed portfolios.
- Adhere to the highest ethical standards, exhibit integrity, and possess exceptional communication skills and teamwork spirit.
- Be capable of proactively conducting roadshows for clients.
- Native level in Mandarin and fluent in English