Asset Management - Fixed Income Portfolio Manager - Shanghai at JPMC Candidate Experience page
Shanghai, Shanghai, China -
Full Time


Start Date

Immediate

Expiry Date

15 Mar, 26

Salary

0.0

Posted On

15 Dec, 25

Experience

5 year(s) or above

Remote Job

Yes

Telecommute

Yes

Sponsor Visa

No

Skills

Debt Investment, Portfolio Management, Credit Strategies, Fixed Income Markets, Security Selection, Risk Management, Macroeconomic Analysis, Microeconomic Analysis, Presentation Skills, Communication Skills, Regulatory Licenses, Team Player, Market Commentary, Tactical Investment Strategy, Sector Allocations, Risk Metrics

Industry

Financial Services

Description
Job summary As a Debt Portfolio Manager within Asset Management, you will be a key contributor to the management of the portfolios. Your value-promotion mindset and risk-taking ability will be essential in formulating credit strategies to deliver alpha over and above our client’s target. This role, based in Shanghai, will require significant coordination with fixed income research team as well as the broader Asset Management team. Job Responsibilities: Fixed income investing with focus on limiting downside risk, individual security selection and price valuation in efficiencies in the market. Oversee for developing and implementing strategic asset allocation and optimized portfolios which outperform client defined benchmarks utilizing relative value, macro and microeconomic analysis. Actively participate and represent the platform’s philosophy, process & strategy styles at client, consultant and internal meetings. Participate in the planning and development of new business processes. Provide analysis of portfolio positioning, sector allocations and key risk metrics. Determine account & portfolio suitability of securities for participation in investment recommendations. Study market commentary, research opinions, and economic forecasts with research analysts and assistant fund managers to assist in determining tactical investment strategy. Required qualifications, capabilities and skills: Minimum 3+ years Debt investment experience with proven track record as Buy Side Portfolio Manager. Ability to detect and articulate asymmetric credit strategies. Ability to deep dive in Credit names and identify values and trade ideas and strong knowledge of Fixed Income Markets. Excellent macro understand of financial markets. Strong team player with Strong presentation and communications skills. Attainment of all necessary regulatory licenses (or any other licenses / qualifications as required) for carrying out Asset Management and other regulated activities Undergraduate degree from a reputable university
Responsibilities
The Debt Portfolio Manager will manage portfolios with a focus on fixed income investing, emphasizing downside risk and security selection. The role involves strategic asset allocation and participation in client meetings to represent the platform's investment philosophy.
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