- Macro Analysis: Conduct in-depth analysis of global macroeconomic trends, geopolitical events, and market indicators to identify investment opportunities and risks.
- Portfolio Management: Develop and implement macro-focused investment strategies to optimize portfolio performance and achieve superior risk-adjusted returns.
- Research and Due Diligence: Conduct thorough research on asset classes, financial instruments, and investment opportunities to inform decision-making processes.
- Risk Management: Develop and execute risk management strategies to protect the fund's assets and ensure compliance with investment guidelines.
- Communication: Provide clear and concise communication of investment strategies, market insights, and performance updates to internal stakeholders and clients.
- Collaboration: Work closely with other team members, including research analysts and traders, to leverage collective expertise and enhance overall fund performance.
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Macro Portfolio Manager - Systematic Hedge Fund
- Location Singapore
- Job type Permanent
- Salary Negotiable
- Discipline Quantitative Research & Trading
- Reference PR/402133_1704878108