2. Track capital indicators, establish appropriate emotions and other indicators that help to judge market trends, and support research and investment.
3. Regularly publish research reports, and work with the research team to build a research framework for large-scale asset allocation.
4. Participate in exchanges with other institutions and data publishing institutions, maintain close exchanges with peers, actively understand market trends, and promote research work.
Requirements:
1, master degree or above in key universities, 1-3 years relevant working experience, and overseas macro research experience is preferred.
2, strong curiosity, strong understanding, good at thinking beyond consensus expectations, and strong logical inference ability.
3. Strong communication skills, active use of external research results and resources, and efficient cooperation with internal macro strategies and stock analysts.
4, with strong research and analysis ability, with the measurement theory and practical basis of constructing quantitative model, at least proficient in a programming language and database construction.
5, positive, cheerful and outgoing, team spirit, willing to share.
6. Identify with the company's cultural value system and operating mechanism.