A leading Chinese asset manager is hiring a macroeconomic research strategist at VP or Director level to join their well established public market investment team. This role focuses on the US market and drives top-down research efforts that translate to the fund's asset allocation strategies.
Responsibilities
Perform US macroeconomic analysis, including macroeconomic/ money policies, industry trends, capital market;
Perform top-down quantitative and qualitative research on various industries including tracking of industry policies, profitability and valuation;
Follow mid-to-long-term development of focus industries such as technology, healthcare and new energy;
Regularly provide market views and asset allocation recommendations;
Requirements
Bachelor degree or above, economics and finance related;
7-12 years of macro research or asset allocation experience in reputable asset managers, insurers, or securities firms with solid research skills;
Deep understanding of macroeconomics, industry comparison, and quantitative and qualitative research methodology;
Outstanding logical thinking, strong writing skills and enthusiasm for research.
Execellent command in both English and Mandarin. Chinese writing skills a must.