68 Tier 1 Hedge Fund Fixed Income Quantitative Researcher jobs in Hong Kong

Tier 1 Hedge Fund Fixed Income Quantitative Researcher [Singapore]

Hong Kong, Hong Kong Selby Jennings

Job Viewed

Tap Again To Close

Job Description

1 week ago Be among the first 25 applicants

  • Develop and implement systematic Fixed Income trading strategies using statistical and machine learning techniques.
  • Conduct alpha research, backtesting, and risk analysis to enhance portfolio performance.
  • Analyze large-scale financial datasets to identify predictive signals and inefficiencies.
  • Collaborate with Portfolio Managers, traders, and engineers to integrate models into the trading framework.
  • Optimize execution strategies and market impact models for improved trade efficiency.
  • Develop and maintain robust research infrastructure, leveraging cloud computing and high-performance databases.
  • Stay updated on academic research, market trends, and regulatory changes to refine models and strategies.
  • Work in a fast-paced environment, balancing innovation with practical deployment in live trading.

Qualifications:

  • Advanced degree (PhD/MSc) in a quantitative field (Math, Physics, CS, Engineering, etc.).
  • Strong programming skills in Python, C++, or kdb+/Q.
Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Finance

Referrals increase your chances of interviewing at Selby Jennings by 2x

Sign in to set job alerts for “Quantitative Research Specialist” roles. Quantitative Researcher, Quantitative Strategies Quantitative Research Analyst, AVP/VP - Hong Kong 2025 Quantitative Researcher Summer Intern Quantitative Researcher / Trader (Defi Trading) Campus Quantitative Researcher (Full-Time) Quantitative Researcher/Developer, Systematic Equities Tier 1 Hedge Fund Senior Equities Quantitative Researcher (Singapore/Hong Kong/Shanghai/Dubai) Quantitative Researcher – Mid Frequency Crypto

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Tier 1 Hedge Fund Fixed Income Quantitative Researcher [Singapore]

Selby Jennings

Posted 15 days ago

Job Viewed

Tap Again To Close

Job Description

1 week ago Be among the first 25 applicants

  • Develop and implement systematic Fixed Income trading strategies using statistical and machine learning techniques.
  • Conduct alpha research, backtesting, and risk analysis to enhance portfolio performance.
  • Analyze large-scale financial datasets to identify predictive signals and inefficiencies.
  • Collaborate with Portfolio Managers, traders, and engineers to integrate models into the trading framework.
  • Optimize execution strategies and market impact models for improved trade efficiency.
  • Develop and maintain robust research infrastructure, leveraging cloud computing and high-performance databases.
  • Stay updated on academic research, market trends, and regulatory changes to refine models and strategies.
  • Work in a fast-paced environment, balancing innovation with practical deployment in live trading.

Qualifications:

  • Advanced degree (PhD/MSc) in a quantitative field (Math, Physics, CS, Engineering, etc.).
  • Strong programming skills in Python, C++, or kdb+/Q.
Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Finance

Referrals increase your chances of interviewing at Selby Jennings by 2x

Sign in to set job alerts for “Quantitative Research Specialist” roles. Quantitative Researcher, Quantitative Strategies Quantitative Research Analyst, AVP/VP - Hong Kong 2025 Quantitative Researcher Summer Intern Quantitative Researcher / Trader (Defi Trading) Campus Quantitative Researcher (Full-Time) Quantitative Researcher/Developer, Systematic Equities Tier 1 Hedge Fund Senior Equities Quantitative Researcher (Singapore/Hong Kong/Shanghai/Dubai) Quantitative Researcher – Mid Frequency Crypto

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Tier 1 Hedge Fund Fixed Income Quantitative Researcher [Singapore]

Hong Kong, Hong Kong Selby Jennings

Posted 8 days ago

Job Viewed

Tap Again To Close

Job Description

1 week ago Be among the first 25 applicants

  • Develop and implement systematic Fixed Income trading strategies using statistical and machine learning techniques.
  • Conduct alpha research, backtesting, and risk analysis to enhance portfolio performance.
  • Analyze large-scale financial datasets to identify predictive signals and inefficiencies.
  • Collaborate with Portfolio Managers, traders, and engineers to integrate models into the trading framework.
  • Optimize execution strategies and market impact models for improved trade efficiency.
  • Develop and maintain robust research infrastructure, leveraging cloud computing and high-performance databases.
  • Stay updated on academic research, market trends, and regulatory changes to refine models and strategies.
  • Work in a fast-paced environment, balancing innovation with practical deployment in live trading.

Qualifications:

  • Advanced degree (PhD/MSc) in a quantitative field (Math, Physics, CS, Engineering, etc.).
  • Strong programming skills in Python, C++, or kdb+/Q.
Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Finance

Referrals increase your chances of interviewing at Selby Jennings by 2x

Sign in to set job alerts for “Quantitative Research Specialist” roles. Quantitative Researcher, Quantitative Strategies Quantitative Research Analyst, AVP/VP - Hong Kong 2025 Quantitative Researcher Summer Intern Quantitative Researcher / Trader (Defi Trading) Campus Quantitative Researcher (Full-Time) Quantitative Researcher/Developer, Systematic Equities Tier 1 Hedge Fund Senior Equities Quantitative Researcher (Singapore/Hong Kong/Shanghai/Dubai) Quantitative Researcher – Mid Frequency Crypto

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Tier 1 Hedge Fund Senior Fixed Income Quantitative Researcher [Singapore/Hong Kong/Shanghai/Dubai]

Selby Jennings

Posted 15 days ago

Job Viewed

Tap Again To Close

Job Description

Tier 1 Hedge Fund Senior Fixed Income Quantitative Researcher (Singapore/Hong Kong/Shanghai/Dubai) Tier 1 Hedge Fund Senior Fixed Income Quantitative Researcher (Singapore/Hong Kong/Shanghai/Dubai)

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Direct message the job poster from Selby Jennings

Quantitative Research and Trading | Hedge Fund | Buy Side • Selby Jennings

Key Responsibilities:

  • Develop and implement quantitative models for fixed income markets, including interest rates, credit, and derivatives.
  • Conduct in-depth research on fixed income securities, utilizing statistical and econometric techniques to analyze market trends and identify investment opportunities.
  • Collaborate with portfolio managers and traders to translate research insights into actionable strategies.
  • Design and backtest quantitative trading strategies, focusing on risk management and performance optimization.
  • Monitor and refine models based on real-time market data and evolving market conditions.
  • Contribute to the development of proprietary research tools and platforms.
  • Stay updated on global macroeconomic trends and their impact on fixed income markets.

Key Requirements:

  • Advanced degree (Master's/Ph.D.) in a quantitative discipline such as Mathematics, Statistics, Finance, Economics, or a related field.
  • 5+ years of experience in quantitative research within fixed income markets, preferably within a hedge fund, investment bank, or asset management firm.
  • Strong programming skills in Python, R, MATLAB, or other relevant languages.
  • Proficiency in statistical and econometric modeling techniques.
  • Familiarity with fixed income instruments, including bonds, swaps, options, and credit derivatives.
  • Ability to work in a fast-paced, dynamic environment with a high level of autonomy.
  • Strong analytical skills, with a keen attention to detail and a proactive approach to problem-solving.
  • Excellent communication skills, with the ability to convey complex quantitative concepts to non-technical stakeholders.

Selby Jennings is a Trading Style of Phaidon International (License number R24119768)

Seniority level
  • Seniority level Not Applicable
Employment type
  • Employment type Full-time
Job function
  • Job function Finance

Referrals increase your chances of interviewing at Selby Jennings by 2x

Sign in to set job alerts for “Tier 1 Hedge Fund Senior Fixed Income Quantitative Researcher (Singapore/Hong Kong/Shanghai/Dubai)” roles.

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Tier 1 Hedge Fund Senior Fixed Income Quantitative Researcher [Singapore/Hong Kong/Shanghai/Dubai]

Hong Kong, Hong Kong Selby Jennings

Posted 19 days ago

Job Viewed

Tap Again To Close

Job Description

Tier 1 Hedge Fund Senior Fixed Income Quantitative Researcher (Singapore/Hong Kong/Shanghai/Dubai) Tier 1 Hedge Fund Senior Fixed Income Quantitative Researcher (Singapore/Hong Kong/Shanghai/Dubai)

Get AI-powered advice on this job and more exclusive features.

Direct message the job poster from Selby Jennings

Quantitative Research and Trading | Hedge Fund | Buy Side • Selby Jennings

Key Responsibilities:

  • Develop and implement quantitative models for fixed income markets, including interest rates, credit, and derivatives.
  • Conduct in-depth research on fixed income securities, utilizing statistical and econometric techniques to analyze market trends and identify investment opportunities.
  • Collaborate with portfolio managers and traders to translate research insights into actionable strategies.
  • Design and backtest quantitative trading strategies, focusing on risk management and performance optimization.
  • Monitor and refine models based on real-time market data and evolving market conditions.
  • Contribute to the development of proprietary research tools and platforms.
  • Stay updated on global macroeconomic trends and their impact on fixed income markets.

Key Requirements:

  • Advanced degree (Master's/Ph.D.) in a quantitative discipline such as Mathematics, Statistics, Finance, Economics, or a related field.
  • 5+ years of experience in quantitative research within fixed income markets, preferably within a hedge fund, investment bank, or asset management firm.
  • Strong programming skills in Python, R, MATLAB, or other relevant languages.
  • Proficiency in statistical and econometric modeling techniques.
  • Familiarity with fixed income instruments, including bonds, swaps, options, and credit derivatives.
  • Ability to work in a fast-paced, dynamic environment with a high level of autonomy.
  • Strong analytical skills, with a keen attention to detail and a proactive approach to problem-solving.
  • Excellent communication skills, with the ability to convey complex quantitative concepts to non-technical stakeholders.

Selby Jennings is a Trading Style of Phaidon International (License number R24119768)

Seniority level
  • Seniority level Not Applicable
Employment type
  • Employment type Full-time
Job function
  • Job function Finance

Referrals increase your chances of interviewing at Selby Jennings by 2x

Sign in to set job alerts for “Tier 1 Hedge Fund Senior Fixed Income Quantitative Researcher (Singapore/Hong Kong/Shanghai/Dubai)” roles.

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Fixed Income Investment – Director

CCB International (Holdings) Limited

Posted 3 days ago

Job Viewed

Tap Again To Close

Job Description

1 day ago Be among the first 25 applicants

  • Supervise and manage the conducting research on fixed income investments, including but not limited to market trend analysis, bond pricing, and interest rate forecasting.
  • Responsible for professional marketing support to potential clients, including preparing investment proposals and market analysis reports.
  • Monitoring the design and development of fixed income-related financial products, ensuring products meet market demands and regulatory requirements.
  • Provide advice on daily fund operations, including capital allocation and liquidity management.

Requirements

  • Bachelor degree holder in Finance, Economics, Mathematics, or related fields preferred.
  • At least 7 years’ experience in fixed income, with a background in public funds, asset management companies, or investment banks preferred.
  • Proficient in data analysis software such as Python and R, capable of using these tools for complex data analysis and model building.
  • Solid experience in credit research, able to conduct in-depth credit analysis and risk assessment of bond issuers.
  • Solid knowledge in finance and quantitative analysis, familiar with various financial instruments and trading strategies in the fixed income market.
  • Proficient in English and Chinese (Mandarin) is necessary, strong Chinese writing skill is highly preferred.

We offer competitive remuneration packages to the successful candidates. Interested candidates may send your detailed resume with current & expected salary and availability.

All information collected will be kept in strict confidence and will be used for recruitment purpose only.

Seniority level
  • Seniority level Director
Employment type
  • Employment type Full-time
Job function
  • Job function Finance
  • Industries Banking and Investment Banking

Referrals increase your chances of interviewing at CCB International (Holdings) Limited by 2x

Get notified about new Investment Director jobs in Hong Kong, Hong Kong SAR .

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Account Director - Corporate, Sustainabilty, and Financial Communications Consultancy ( HONG KONG ) Head of Operations and Development - Hang Seng Investment Management Limited (HK)

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Central & Western District, Hong Kong SAR 2 days ago

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Fixed Income Investment Specialist

Capital Group

Posted 4 days ago

Job Viewed

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Job Description

Join to apply for the Fixed Income Investment Specialist role at Capital Group

Join to apply for the Fixed Income Investment Specialist role at Capital Group

Get AI-powered advice on this job and more exclusive features.

“I can succeed as an Investment Specialist at Capital Group.”

Capital Group has been increasing the presence of its fixed income investment capability across all business segments. To aid in this continuing growth, the firm is seeking to recruit an experienced Investment Specialist to help drive the growth of our Fixed Income business in Hong Kong and Greater China. Based in Hong Kong, you will be responsible for expanding our Fixed Income platform in Greater China, and lead as the subject matter expert for Fixed Income when presenting to sophisticated external clients and prospects.

Client Engagement

  • Engage with external clients as a proxy for Capital Group’s Fixed Income portfolio managers, representing Capital Group at speaking events, sales meetings, and point of sale presentations and serves as the primary contact to clients in delivering investment expertise and capital markets perspective with regards to the bond market
  • Ability to clearly articulate the Capital Group investment process, research capabilities, fixed income products and competitive differences in a clear and concise manner
  • Inform and educate clients regarding Capital Group’s Fixed Income portfolio attribution and results
  • Act as the internal subject matter expert regarding Fixed Income investments, capital markets, and portfolios
  • Work closely with the sales and distribution team as the proxy for portfolio managers to drive and generate business development ideas, engage with prospects, service / defend existing business, and facilitate Fixed Income sales growth. and service/defend existing business

Research & Analysis

  • Conducts robust quantitative/qualitative research to produce differentiated insight about portfolios and acts as a subject matter expert in reviewing client’s current portfolio holdings
  • Creates a variety of content, to include competitor analysis, white papers, Investment Insights, pitch books, and ad-hoc content in response to market events and is a subject matter expert in Fixed Income

“I am the person Capital Group is looking for.”

  • 5-10+ years of Fixed Income investment experience in a role as a buy-side Portfolio Manager, Product Manager, Client Portfolio Manager, Investment/Portfolio Specialist, Analyst and/or Trader
  • Undergraduate degree required; an advanced business degree and/or a CFA certification preferred
  • Proven effectiveness in articulating the investment/research process to diverse audiences
  • Strong track record and ability to influence senior business leaders on strategic business matters; persuasive presenter, with presence to convey authority/competence at a senior corporate level
  • You are an enthusiastic communicator and have significant experience with wealth management audiences
  • You know how to leverage technologies to create custom analysis (Excel, PowerPoint, Bloomberg, Factset, etc.).
  • Fluent in English, Cantonese and conversational Mandarin
  • Flexibility to travel, primarily within the region































In addition to a highly competitive base salary, per plan guidelines, restrictions and vesting requirements, you also will be eligible for an individual annual performance bonus, plus Capital’s annual profitability bonus plus a retirement plan where Capital contributes 15% of your eligible earnings.

You can learn more about our compensation and benefits here.

  • Temporary positions in Canada and the United States are excluded from the above mentioned compensation and benefit plans.

We are an equal opportunity employer, which means we comply with all federal, state and local laws that prohibit discrimination when making all decisions about employment. As equal opportunity employers, our policies prohibit unlawful discrimination on the basis of race, religion, color, national origin, ancestry, sex (including gender and gender identity), pregnancy, childbirth and related medical conditions, age, physical or mental disability, medical condition, genetic information, marital status, sexual orientation, citizenship status, AIDS/HIV status, political activities or affiliations, military or veteran status, status as a victim of domestic violence, assault or stalking or any other characteristic protected by federal, state or local law.

Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Finance and Sales

Referrals increase your chances of interviewing at Capital Group by 2x

Get notified about new Fixed Income Specialist jobs in Hong Kong SAR .

Asset & Wealth Management, Private, Global Risk, Analyst, Hong Kong Equity Capital Markets - Analyst / Associate Independent Asian Equity Derivatives Analyst Global Banking & Markets, Investment Banking, Capital Solutions Group, Associate/ Analyst, Hong Kong Financial Markets Analyst – Global Markets

Kwun Tong District, Hong Kong SAR 9 months ago

China/Regional Internet Equity Long Short Analyst - GLOBAL PLATFORM Fixed Income and Structured Product Specialist Consumer Senior Analyst - Multi-Billion AUM Hedge Fund Finance Analyst - FP&A APAC (6-month contract) Assistant Manager, Treasury Sales – Global Markets and Trading Department Leading MNC IBank - Investment Banking Analyst/Associate Global Banking & Markets, Equities Funding Strategist, Analyst/ Associate, Hong Kong Asset & Wealth Management, Alternatives Private Operations, Execution & Closing, Analyst/Associate, Hong Kong

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Senior / Fixed Income Dealer

Bank of China (Hong Kong)

Posted 15 days ago

Job Viewed

Tap Again To Close

Job Description

2 days ago Be among the first 25 applicants

  • Assist to manage Southeast Asian branches’ fixed income trading business. Be responsible for building and enhancing the trading infrastructure and abilities of Southeast Asia related fixed income trading business.
  • Pay attention to the financial market dynamics, provide professional analysis opinions on the adjustment of business strategies. Collaborate with sales team to provide better services / products.
  • Be responsible for P/L monitoring performance attribution, and scenario analysis of portfolio holding
  • Conduct business strictly in strict compliance with regulator’s and the bank’s regulatory requirements
  • Obey, identify and control all different potential and real risks at work. Comply with local laws, regulations or codes of various regulatory authorities, bank policies, relevant risk management policies and procedures, and related rules and regulations. Report to the higher authorities and relevant units in a timely manner, formulate corrective actions and follow up according to the situation
  • Execute other tasks assigned by the Head of Trading or other related projects by the senior management.
  • Willing to work at the Southeast Asian Branch of BOCHK

Responsibilities

  • Assist to manage Southeast Asian branches’ fixed income trading business. Be responsible for building and enhancing the trading infrastructure and abilities of Southeast Asia related fixed income trading business.
  • Pay attention to the financial market dynamics, provide professional analysis opinions on the adjustment of business strategies. Collaborate with sales team to provide better services / products.
  • Be responsible for P/L monitoring performance attribution, and scenario analysis of portfolio holding
  • Conduct business strictly in strict compliance with regulator’s and the bank’s regulatory requirements
  • Obey, identify and control all different potential and real risks at work. Comply with local laws, regulations or codes of various regulatory authorities, bank policies, relevant risk management policies and procedures, and related rules and regulations. Report to the higher authorities and relevant units in a timely manner, formulate corrective actions and follow up according to the situation
  • Execute other tasks assigned by the Head of Trading or other related projects by the senior management.
  • Willing to work at the Southeast Asian Branch of BOCHK

Requirements

  • Bachelors or above level in Finance or related majors; or other qualifications recognized by the bank
  • Experienced in financial product risk management
  • Strong interpersonal and communication skills , self -motivated , attentive to details and well organized, With positive thinking and pursue excellence and determine to succeed
  • Familiar with various financial regulatory policies
  • Able to operate under pressure

We offer competitive remuneration package and comprehensive fringe benefits including medical and life insurance, and different types of allowances to the right candidates. Interested parties, please submit your application online. For details, please visit our website Data collected would be used for recruitment purposes only. Applicants who do not hear from us within 8 weeks may consider their application unsuccessful and their data will be destroyed within 12 months of receipt.

Seniority level
  • Seniority level Not Applicable
Employment type
  • Employment type Full-time
Job function
  • Job function Business Development
  • Industries Banking, Capital Markets, and Financial Services

Referrals increase your chances of interviewing at Bank of China (Hong Kong) by 2x

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Assistant Buying Manager / Senior Buyer (Footwear)

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About the latest Tier 1 hedge fund fixed income quantitative researcher Jobs in Hong Kong !

Fixed Income Investment – Director

Hong Kong, Hong Kong CCB International (Holdings) Limited

Posted 3 days ago

Job Viewed

Tap Again To Close

Job Description

1 day ago Be among the first 25 applicants

  • Supervise and manage the conducting research on fixed income investments, including but not limited to market trend analysis, bond pricing, and interest rate forecasting.
  • Responsible for professional marketing support to potential clients, including preparing investment proposals and market analysis reports.
  • Monitoring the design and development of fixed income-related financial products, ensuring products meet market demands and regulatory requirements.
  • Provide advice on daily fund operations, including capital allocation and liquidity management.

Requirements

  • Bachelor degree holder in Finance, Economics, Mathematics, or related fields preferred.
  • At least 7 years’ experience in fixed income, with a background in public funds, asset management companies, or investment banks preferred.
  • Proficient in data analysis software such as Python and R, capable of using these tools for complex data analysis and model building.
  • Solid experience in credit research, able to conduct in-depth credit analysis and risk assessment of bond issuers.
  • Solid knowledge in finance and quantitative analysis, familiar with various financial instruments and trading strategies in the fixed income market.
  • Proficient in English and Chinese (Mandarin) is necessary, strong Chinese writing skill is highly preferred.

We offer competitive remuneration packages to the successful candidates. Interested candidates may send your detailed resume with current & expected salary and availability.

All information collected will be kept in strict confidence and will be used for recruitment purpose only.

Seniority level
  • Seniority level Director
Employment type
  • Employment type Full-time
Job function
  • Job function Finance
  • Industries Banking and Investment Banking

Referrals increase your chances of interviewing at CCB International (Holdings) Limited by 2x

Get notified about new Investment Director jobs in Hong Kong, Hong Kong SAR .

Associate Director, Startup Investment, Venture Capital, 1.2-1.5M +B Director/Vice President, Institutional Equity Sales VP/ Director, China Financial Markets Sales

Wan Chai District, Hong Kong SAR 1 week ago

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Central & Western District, Hong Kong SAR 6 days ago

Account Director - Corporate, Sustainabilty, and Financial Communications Consultancy ( HONG KONG ) Head of Operations and Development - Hang Seng Investment Management Limited (HK)

Central & Western District, Hong Kong SAR 1 day ago

HSBC Premier Elite Director - Wealth and Personal Banking

Central & Western District, Hong Kong SAR 2 days ago

Associate Director, Operations, Wealth Management, Operations

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Fixed Income Investment Specialist

Hong Kong, Hong Kong Capital Group

Posted 4 days ago

Job Viewed

Tap Again To Close

Job Description

Join to apply for the Fixed Income Investment Specialist role at Capital Group

Join to apply for the Fixed Income Investment Specialist role at Capital Group

Get AI-powered advice on this job and more exclusive features.

“I can succeed as an Investment Specialist at Capital Group.”
Capital Group has been increasing the presence of its fixed income investment capability across all business segments. To aid in this continuing growth, the firm is seeking to recruit an experienced Investment Specialist to help drive the growth of our Fixed Income business in Hong Kong and Greater China. Based in Hong Kong, you will be responsible for expanding our Fixed Income platform in Greater China, and lead as the subject matter expert for Fixed Income when presenting to sophisticated external clients and prospects.
Client Engagement

  • Engage with external clients as a proxy for Capital Group’s Fixed Income portfolio managers, representing Capital Group at speaking events, sales meetings, and point of sale presentations and serves as the primary contact to clients in delivering investment expertise and capital markets perspective with regards to the bond market
  • Ability to clearly articulate the Capital Group investment process, research capabilities, fixed income products and competitive differences in a clear and concise manner
  • Inform and educate clients regarding Capital Group’s Fixed Income portfolio attribution and results
  • Act as the internal subject matter expert regarding Fixed Income investments, capital markets, and portfolios
  • Work closely with the sales and distribution team as the proxy for portfolio managers to drive and generate business development ideas, engage with prospects, service / defend existing business, and facilitate Fixed Income sales growth. and service/defend existing business
Research & Analysis
  • Conducts robust quantitative/qualitative research to produce differentiated insight about portfolios and acts as a subject matter expert in reviewing client’s current portfolio holdings
  • Creates a variety of content, to include competitor analysis, white papers, Investment Insights, pitch books, and ad-hoc content in response to market events and is a subject matter expert in Fixed Income
“I am the person Capital Group is looking for.”
  • 5-10+ years of Fixed Income investment experience in a role as a buy-side Portfolio Manager, Product Manager, Client Portfolio Manager, Investment/Portfolio Specialist, Analyst and/or Trader
  • Undergraduate degree required; an advanced business degree and/or a CFA certification preferred
  • Proven effectiveness in articulating the investment/research process to diverse audiences
  • Strong track record and ability to influence senior business leaders on strategic business matters; persuasive presenter, with presence to convey authority/competence at a senior corporate level
  • You are an enthusiastic communicator and have significant experience with wealth management audiences
  • You know how to leverage technologies to create custom analysis (Excel, PowerPoint, Bloomberg, Factset, etc.).
  • Fluent in English, Cantonese and conversational Mandarin
  • Flexibility to travel, primarily within the region

In addition to a highly competitive base salary, per plan guidelines, restrictions and vesting requirements, you also will be eligible for an individual annual performance bonus, plus Capital’s annual profitability bonus plus a retirement plan where Capital contributes 15% of your eligible earnings.
You can learn more about our compensation and benefits here.
  • Temporary positions in Canada and the United States are excluded from the above mentioned compensation and benefit plans.
We are an equal opportunity employer, which means we comply with all federal, state and local laws that prohibit discrimination when making all decisions about employment. As equal opportunity employers, our policies prohibit unlawful discrimination on the basis of race, religion, color, national origin, ancestry, sex (including gender and gender identity), pregnancy, childbirth and related medical conditions, age, physical or mental disability, medical condition, genetic information, marital status, sexual orientation, citizenship status, AIDS/HIV status, political activities or affiliations, military or veteran status, status as a victim of domestic violence, assault or stalking or any other characteristic protected by federal, state or local law. Seniority level
  • Seniority level Mid-Senior level
Employment type
  • Employment type Full-time
Job function
  • Job function Finance and Sales

Referrals increase your chances of interviewing at Capital Group by 2x

Get notified about new Fixed Income Specialist jobs in Hong Kong SAR .

Asset & Wealth Management, Private, Global Risk, Analyst, Hong Kong Equity Capital Markets - Analyst / Associate Independent Asian Equity Derivatives Analyst Global Banking & Markets, Investment Banking, Capital Solutions Group, Associate/ Analyst, Hong Kong Financial Markets Analyst – Global Markets

Kwun Tong District, Hong Kong SAR 9 months ago

China/Regional Internet Equity Long Short Analyst - GLOBAL PLATFORM Fixed Income and Structured Product Specialist Consumer Senior Analyst - Multi-Billion AUM Hedge Fund Finance Analyst - FP&A APAC (6-month contract) Assistant Manager, Treasury Sales – Global Markets and Trading Department Leading MNC IBank - Investment Banking Analyst/Associate Global Banking & Markets, Equities Funding Strategist, Analyst/ Associate, Hong Kong Asset & Wealth Management, Alternatives Private Operations, Execution & Closing, Analyst/Associate, Hong Kong

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Senior / Fixed Income Dealer

Hong Kong, Hong Kong Bank of China (Hong Kong)

Posted 15 days ago

Job Viewed

Tap Again To Close

Job Description

2 days ago Be among the first 25 applicants

  • Assist to manage Southeast Asian branches’ fixed income trading business. Be responsible for building and enhancing the trading infrastructure and abilities of Southeast Asia related fixed income trading business.
  • Pay attention to the financial market dynamics, provide professional analysis opinions on the adjustment of business strategies. Collaborate with sales team to provide better services / products.
  • Be responsible for P/L monitoring performance attribution, and scenario analysis of portfolio holding
  • Conduct business strictly in strict compliance with regulator’s and the bank’s regulatory requirements
  • Obey, identify and control all different potential and real risks at work. Comply with local laws, regulations or codes of various regulatory authorities, bank policies, relevant risk management policies and procedures, and related rules and regulations. Report to the higher authorities and relevant units in a timely manner, formulate corrective actions and follow up according to the situation
  • Execute other tasks assigned by the Head of Trading or other related projects by the senior management.
  • Willing to work at the Southeast Asian Branch of BOCHK
Responsibilities
  • Assist to manage Southeast Asian branches’ fixed income trading business. Be responsible for building and enhancing the trading infrastructure and abilities of Southeast Asia related fixed income trading business.
  • Pay attention to the financial market dynamics, provide professional analysis opinions on the adjustment of business strategies. Collaborate with sales team to provide better services / products.
  • Be responsible for P/L monitoring performance attribution, and scenario analysis of portfolio holding
  • Conduct business strictly in strict compliance with regulator’s and the bank’s regulatory requirements
  • Obey, identify and control all different potential and real risks at work. Comply with local laws, regulations or codes of various regulatory authorities, bank policies, relevant risk management policies and procedures, and related rules and regulations. Report to the higher authorities and relevant units in a timely manner, formulate corrective actions and follow up according to the situation
  • Execute other tasks assigned by the Head of Trading or other related projects by the senior management.
  • Willing to work at the Southeast Asian Branch of BOCHK
Requirements
  • Bachelors or above level in Finance or related majors; or other qualifications recognized by the bank
  • Experienced in financial product risk management
  • Strong interpersonal and communication skills , self -motivated , attentive to details and well organized, With positive thinking and pursue excellence and determine to succeed
  • Familiar with various financial regulatory policies
  • Able to operate under pressure
We offer competitive remuneration package and comprehensive fringe benefits including medical and life insurance, and different types of allowances to the right candidates. Interested parties, please submit your application online. For details, please visit our website Data collected would be used for recruitment purposes only. Applicants who do not hear from us within 8 weeks may consider their application unsuccessful and their data will be destroyed within 12 months of receipt.
Seniority level
  • Seniority level Not Applicable
Employment type
  • Employment type Full-time
Job function
  • Job function Business Development
  • Industries Banking, Capital Markets, and Financial Services

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