Hong Kong
7 years ago

Job Overview

Pay
Not disclosed

Job description

Location:
Hong Kong
Work arrangement:
On-site

Role Summary

The HK investment team is looking for an APAC Equities focused Portfolio Manager. We are seeking a portfolio manager with a deep understanding of a particular inefficiency they attempt to capture. They will have been heavily involved in the research of the strategy as well as its implementation, and are able to develop new strategies from idea to implementation.

In addition, the PM will have a solid understanding of the dynamics of markets, and use these dynamics to display a qualitative appreciation of when their strategy performs well and poorly.

Requirements

  • 2+ years experience as a PM, or 4-5 years as an assistant PM;
  • Clearly defined scalable strategy and investment process.
  • Previous 3 years of positive returns.
  • Clearly defined universe that is Asian Equity market focused.
  • The strategy must be based on a beta neutral framework that generates alpha returns in the Asian Equity Markets
  • Must be able to deploy the strategy in a hedge fund environment.
  • Personal qualities: high attention to detail, perform well in a high pressure environment, work with a team and is able to achieve the goals set for them
Role:
Portfolio Manager (HK)

Company profile

Maven Securities is a proprietary trading firm that allocates internal capital between discretionary, systematic and market-making strategies, running fundamental and quantitative trading and market making across global financial markets using only the group's capital. It combines risk management with internally developed technology and sees itself as much a technology firm as a multi-strategy trading firm. Maven holds memberships of LSE, Euronext, ICE and EUREX, has offices in London, Hong Kong, New York, Amsterdam, Chicago and Monaco, and its Maven Derivatives business is authorised by the FCA.

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