Job responsibilities:
1. Study the macro and micro economic situation and the stock market, formulate relevant investment strategies and asset allocation plans, and provide relevant reports;
2. Study the investment opportunities of industries and companies, make investment analysis and judgment on the fundamentals of the research object, and provide corresponding analysis reports;
3. Lead the preparation and management of FOF/MOM, including strategy formulation, fund/investment selection, tracking and fund raising;
4. Responsible for the construction of the investment team of the Asset Management Department, and constantly improve the investment level and professional level of the department.
Qualifications:
1, master degree or above in economics, finance and other related majors;
At least 2.5 years experience in securities self-management or asset management investment, experience in investment management of funds or securities companies and excellent past performance is preferred, and experience in fund managers is preferred;
3. Solid knowledge of securities research, familiar with financial products, industry research, asset allocation, risk control, investment management, etc.
4, calm personality, meticulous and responsible, strong sense of responsibility, good communication and coordination and team leadership.