当前位置:首页>职位列表>职位详情
Multi-Asset Portfolio Manager(FICC) 面议
应届毕业生 硕士
华泰证券股份有限公司 2025-06-23 16:48:29 13人关注
职位描述
工作职责 1、Lead the construction and management of multi-asset portfolios (rates, credit, FX volatility instruments) with a fixed-income core, driving absolute-return strategies while adhering to risk-adjusted performance targets. 2、Design and implement risk parity frameworks to optimize asset allocation, hedging strategies, and leverage across multi-asset portfolios, ensuring alignment with fund mandates and liquidity constraints. 3、Build proprietary quantitative models to identify mispricing, asses tail risks, and enhance portfolio alpha generation. 4、Lead due diligence on new investment products and oversee onboarding for executable instruments. 任职要求 1、Master’s degree in Mathematics, Physics, Economics, Finance, or a related quantitative field. 2、7 to 10 years of hands-on portfolio management or trading experience in multi-asset fixed income and derivatives, with a proven track record of alpha generation within buy-side/sell-side institutions. 3、Deep understanding of sell-side/buy-side infrastructure: funding dynamics, prime brokerage relationships, collateral management, and trading system workflows. Working experience covering one major asset or multi-asset class as below. Rates: DM/EM rates
联系方式
注:联系我时,请说是在今日招聘网上看到的。
工作地点
地址:香港-中西区香港中环中心
以担保或任何理由索取财物,扣押证照,均涉嫌违法,请提高警惕

若您已有简历,可直接登录登录

  • 省份

    注:0表示面议
    获取验证码
    保存并投递
    投递简历
      马上投递
      投递简历
        马上投递

        企业
        服务热线

        • 400-6680-889
        1. 登录
        2. 注册
        客户服务热线:
        400-6680-889
        在线客服:
        点击这里给我发消息 898995850
        工作日:
        8:30-18:00