ZEBRA™ Strategic Holdings Limited is a performance-based holistic Human Capital Solutions provider that services Corporate Clients across Asia Pacific region. With more than a decade of solid experience, ZEBRA™ successfully listed on the GEM board of the Hong Kong Stock Exchange in the year...

ZEBRA™ Strategic Holdings Limited is a performance-based holistic Human Capital Solutions provider that services Corporate Clients across Asia Pacific region.

With more than a decade of solid experience, ZEBRA™ successfully listed on the GEM board of the Hong Kong Stock Exchange in the year of 2013.

Our client, a leading institution is currently seeking for a high-caliber candidate to join their team.

Vice President, Portfolio Management - Insurance

Job level Senior
Work exp Minimum 10 Years
Education Bachelor Degree
Location
Not Specified
Employment type Full Time
Industry HR / Recruitment Services
Job function Insurance > Others
Published On 17/07/2018

Responsibilities:

 

  • Direct or assist Head of Equity Investment to manage Asian (ex Japan) equity portfolio(s);
  • Provide analysis of stocks and to manage equity portfolios in such a way to maximize investment return;
  • Effective implementation of investment ideas across portfolios;
  • To be back-up portfolio manager to execute orders under direction of Head of Equity Investment or CIO when both or either of them not in office;
  • Ensure investment transactions adhere to risk management guidelines and regulatory requirements;
  • Ensure portfolio is consistently managed in accordance with appropriate strategies and guidelines;
  • Participate in ad-hoc projects relating to portfolio management;
  • Conduct in-depth investment research on companies and sectors in Asia;
  • Make investment recommendation and communicate research findings to regional investment teams across Asia under guidance from Regional Head of Research;
  • Make investment recommendations to Head of Equity Investment or CIO on consistent basis to contribute positively to equity portfolios.

 

Requirements:

 

  • At least 10 years of experience in stock analysis;
  • Experience in managing public funds in Asian markets in the past 5 years with proven track record preferred;
  • Postgraduate degree in economics, finance or business-related subjects;
  • Holder of investment-related professional qualification such as CFA, FRM or CAIA preferred;
  • Holder of relevant SFC license preferred.

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