Condividi questa offerta

Eurizon Capital Asia Limited - Equity Fund Manager - China

Data: 13-mag-2022

Luogo: Hong Kong, HK

Società: Intesa Sanpaolo Group

 

Eurizon Capital SGR S.p.A., part of the Intesa Sanpaolo Group, specialises in asset management, offering products to retail clients (mutual funds and managed accounts) as well as to institutional clients, to whom it provides a wide range of tailored investment products and services. It is looking for qualified profiles who want to be involved in a stimulating and challenging career opportunities with the following requirements

Scopo e Attività

 

Main activities: 1. Manage an A-Share Fund 2. Perform fundamental analysis and financial modeling on individual securities. 3. Perform research and analysis on relevant sectors, themes and macro developments in support of existing or potential positions 4. Attend investment conferences and maintain regular communications with sell-side analysts and company representatives 5. Travel for on-site visits and channel checking where appropriate 6. Generate new investment ideas based on internal or external research, newsflow, quantitative screening or other sources 7. Communicate analysis results and new ideas to team members both verbally and in writing as appropriate 8. Monitor performance and material changes of existing positions daily and trade and rebalance the fund as appropriate. 9. Assist team with positions outside of China where China specific knowledge or analysis is needed 10. Perform ad hoc investment related tasks as needed 11. Support colleagues in sales and marketing 

Esperienza Richiesta

 

The candidate is expected to have 7-10 yr+ of equity portfolio management experience, with a focus on China A-Shares 

Competenze Richieste

 

Required competences: 1. Proven ability to work independently with high attention to detail 2. Good communication skills when working with other investment team members and internal and external parties 3. Strong interpersonal and networking skills 4. Ability to quickly adapt to different investment styles and coverage 5. Disciplined approach to the investment process Required qualifications: 1. Bachelors degree with strong academic track record 2. Strong abilities in portfolio construction 3. Strong analytical skills and ability to effectively employ alternative research 4. Experience with fundamental research and financial modelling 5. CFA certification or candidacy a plus 6. Native Chinese fluency and fluency in English Required technical competences: 1. Proven track record in managing an active, fundamental driven China A-Share equity fund. 2. Deep knowledge of China equity markets and securities both on-shore and off-shore 3. Proven abilities in portfolio construction. 4. Ability to follow and form an understanding of the regulatory and policy environment in China 5. Competency in financial modeling and forecasting with familiarity of local accounting standards 6. The ability to independently analyze individual securities and generate new ideas where opportunities arise 7. Effectively communicate and build working relationships with internal colleagues, sell-side and company representatives 8. Ability to incorporate alternative research and data into the investment process 9. Risk management and trading risks 

Everyone is an asset for our Group and that person could be you! Check out our job opportunities, apply and join our team!