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Skillful in both top-down macroeconomic analysis and bottom-up issuer research are requisite
Primary focus on USD Investment Grade Fixed Income market, but will be required to look at high yield opportunities as well
Analyze financial statements, attend management meetings, build financial models, analyze bond covenants and articulate market information/investment opinions
Participate in investment team and client meetings for relative value discussions. Offer fundamental input on credit trades and offer research perspective on portfolio construction issues
Other ad hoc projects / tasks
Job Requirements
Postgraduate degree holder of Economics, Finance or other relevant subjects, CFA designation preferred
4 – 7 years of research or fixed income experience at financial institutions
Excellent analytical, quantitative, and computing skills desired, with knowledge of standard desktop software tools required (especially Excel and Powerpoint)
Ability to distill a substantial amount of qualitative and quantitative information (operational and financial) into a succinct, coherent and actionable investment thesis
Strong work ethic and team player; willingness to work with people at all levels to promote the common interest
Good command of spoken and written skills in English and Mandarin
Applicant with lesser qualification and experience will be considered junior position
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