Our client is a multi-strategies hedge fund with over 900mil AUM.
They are currently expanding and adding an additional headcount in equity analysis.
Key Responsibilities: Conduct in-depth analysis of publicly traded companies in the APAC market (preferably Greater China), focusing on financial performance, competitive positioning, and market trends.
Develop and maintain financial models, forecasts, and valuation assessments for a diverse range of companies.
Produce high-quality research reports and investment recommendations based on quantitative and qualitative analysis.
Monitor economic indicators, industry developments, and regulatory changes impacting the Chinese market.
Collaborate with portfolio managers and analysts to support investment decisions and strategy development.
Engage with company management teams, industry experts, and other stakeholders to gather insights and validate research findings.
Present research findings and investment ideas to internal teams and clients, effectively communicating complex information in a clear and concise manner.
Stay abreast of global financial market trends and assess their potential impact on Chinese equities.
Contribute to team knowledge sharing and mentorship of junior researchers.
Qualifications: Bachelor's degree from Top Universities (high level education is preferred)3+ years of relevant experience in equity research, investment analysis, or a related field in APAC or Greater China region Short experience is a must Strong deep fundamental analytical background Strong understanding of financial statements, valuation techniques, and investment strategies.
Excellent analytical skills, with proven ability to interpret complex financial data and market trends.
Proficiency in financial modeling and research tools (e.g., Bloomberg, Fact Set).
Strong written and verbal communication skills, with the ability to present complex information effectively.