Conduct high-quality research within assigned areas of fixed income market coverage, including financial analysis and modelling.
Generate timely and actionable fixed income investment ideas by evaluating a broad universe of bonds and bond funds.
Collaborate with regional Fixed Income analysts on key coverage priorities, and contribute to investment views as one Global Fixed Income team.
Maintain regular coverage of bond issuers, while actively providing updates on newly issued bonds and identifying new bond recommendations.
Communicate the team's investment ideas to both the investing public and internal stakeholders through research reports, presentations, and other channels.
Support the growth of the firm's fixed income business.
Undertake additional ad-hoc duties and projects as assigned.
Leverage existing technologies (including AI) to enhance research workflows.
Requirements
Bachelor's degree in a relevant discipline (e.g. Accountancy, Economics, Finance, Business Administration), preferably with experience in investment research.
Good understanding of the macro and micro factors affecting fixed income markets.
Ability to analyse financial statements and assess a company's profile based on available information.
Strong analytical skills, numerical ability, and attention to detail.
Excellent communication skills, with a strong command of both spoken and written English. Fluency in Mandarin will be viewed favourably.
Demonstrated interest in and passion for financial markets, with a desire to deepen expertise in Fixed Income.
Ability to multi-task and work effectively under ongoing deadlines.