1) Perform equity research and analysis on Korean equities across all the industries listed on stock exchanges. Recommend on each stock and each sector to portfolio managers, based in Singapore and Tokyo, with the use of relative value analysis. Also provide a macro view of Korea on an ongoing basis with an asset allocation perspective.
2) Assist the portfolio construction and daily portfolio management operation for Asian equities on behalf of all the clients of Nomura Asset Management Singapore Limited. Identify the key macro and market factors across Asian equity market, with deeper analysis and communication with counterparties, then help decision making on investment into the market. Monitor the regulatory and guideline change in investing in Asian equity market, then liaise with relevant team in various offices wherever necessary.
3) Take an active role for Asian equity portfolio, which compromises of the bulk of our assets under management and provide customized solutions for different funds with different characteristics.
4) Prepare periodical and ad-hock performance and portfolio analysis report of Asian equity portfolios especially of the Korean component which is an area of primary responsibility.
5) Gather expertise on other, especially related equity markets as well and assist in decision making for these markets too, Taiwan would be amongst the first of them. Also need to have a broad perspective of Korea and other Asian equity markets in the context of global equity markets.
Requirements
1) More than 10 years of experiences in Asset Management industry
2) More than 7 years of experiences in equity research covering all the sectors and Asian portfolio management.
3) Working experiences in Korea equity research as well as perspective of Korea economy and Korea markets is a must in this position.
4) Expertise in analysis of macro data and market analytical skills for interest rate, FX.
5) Experience in macro/market (equity/fx) analysis for Korea.
6) Experience in preparing performance review reports for clients or fund evaluation agencies.
7) Microsoft Office Suite: Proficient with Word/PowerPoint/Access/Excel and VBA programming.
8) Order Management System, Financial data services: Excellent command of CR-IMS and Bloomberg.
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