
普通员工/个人贡献者
综合评分 72
Senior investment research role in Hong Kong with hybrid work, growth opportunities, and competitive compensation.
从薪资福利、成长空间、工作节奏和岗位方向综合评估,方便横向比较。
薪资怎么样
45K
比投资顾问中位数高
发布情况
新岗位 · 2 天前发布
公司情况
这家公司招聘很活跃
73 个在招
市场机会
选择适中
投资顾问 · 49 个在招
This role involves leading and supporting due diligence, assessment, and ongoing monitoring of investment strategies across asset classes. You will deliver independent, structured recommendations to support decision-making on institutional and wealth platforms in Asia, focusing on portfolio manager analysis and business growth.
+ years of experience in investment manager / mutual fund research, due diligence, and manager selection. Strong grasp of global markets, asset classes, and the asset management industry (experience on multi-manager, endowment, sovereign, buy-side, or major consultant platforms is highly relevant). Detail orientation with solid analytical and writing skills; ability to synthesize complex findings into clear, actionable recommendations with a robust, consistent framework. Ownership and accountability: prioritize, multi-task, and deliver end-to-end work independently while collaborating inclusively with global, cross-disciplinary stakeholders. Growth mindset and proactivity: open to feedback, commits to resolve problems end-to-end, stewardship orientation, and motivation to do what is right. Excellent communication and stakeholder management; confident presenting to diverse audiences and maintaining well-reasoned, evidence-based views through rigorous discussion. Verbal and written proficiency in English and Mandarin and/or Cantonese. Knowledge of wealth, retirement or investment-linked insurance scheme platforms across Asia preferred. Proficient with Morningstar Direct, Lipper, Bloomberg and other research packages.
Conduct in-depth, ongoing quantitative and qualitative research, on investment strategies and portfolio managers across asset classes, including portfolio manager meetings to assess philosophy, process, team, performance, and risk to ensure success of strategies being covered; identify issues early and drive remediation. Apply a consistent approach to identify return/ risk drivers, develop value propositions, and produce decision-ready recommendations, enhance processes to improve efficiency, quality and productivity. Strengthen the Global Manager Research team’s center of expertise through adding value to the Global Wealth and Asset Management businesses with insights on investment manager analysis; foster strong partnership with key stakeholders across the company. Serve as the subject matter expert for the local and regional investment platforms in Asia; actively engage in boards and committees to advise product selection, conduct platform analysis, and support business growth and strategic initiatives. Lead/support ad-hoc projects.
Post graduate degree, CFA/CAIA preferred.
优点
缺点 / 挑战
暂无明显挑战项
The position likely offers competitive compensation typical of Hong Kong's financial sector, but specific salary details are not disclosed in the JD.
The role provides opportunities for professional growth in investment research, with exposure to global markets and senior stakeholders.
The hybrid work arrangement offers flexibility, but the demanding nature of investment research may lead to long hours.
The role contributes to financial decision-making in a stable industry, with moderate social impact.
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