The Opportunity A multi-billion dollar, Asia-focused multi-strategy equity hedge fund is adding Market Neutral Portfolio Managers across key Asian markets. With over a decade of operations, a strong institutional LP base, and consistent risk-adjusted performance, the fund is expanding its pod structure to deepen single-country coverage.
Openings exist for PMs covering: Japan | India | Greater China | Southeast Asia | Korea
Key Responsibilities - Build and manage a market neutral equity book for your designated market
- Generate alpha on both long and short sides through fundamental research and high-conviction stock selection
- Manage gross/net exposure, factor risks, and position sizing within defined risk parameters
- Leverage local networks — corporates, brokers, and industry contacts — to drive idea generation
Ideal Candidate Profile - 7+ years of buy-side experience running a market neutral or long/short equity book
- Sharpe ratio of 1.5 or above across a verifiable, audited track record
- Demonstrable experience deploying and managing sizable capital on both sides of the book
- Proven short-selling capability with disciplined risk management
- Deep market knowledge and language capability relevant to your coverage (e.g. Japanese, Mandarin, Hindi)
- CFA preferred; pod-ready mindset essential