Conduct credit research and analysis on high yield bonds.
Perform top-down macroeconomic analysis and bottom-up research on individual bond issuers and carry out financial statement analysis of specific companies.
Responsible for carrying out daily macroeconomic research and bond market research, tapping bond market investment opportunities.
Assist to manage the portfolio by recommending investment strategies to portfolio managers.
Write weekly and monthly reports on fund performance and individual bond issuers.
Bachelor degree or above
Above 8 years’ fixed income research related experience in buy-side/sell-side companies or credit rating agencies.
Solid foundation of financial analysis, familiar with credit research framework, and proficient in bond research methods.
Team player, energetic to take challenges, and can work under pressure.
Fluent in both English and Chinese