Role Responsibilities:
- Conducted in-depth single-stock analysis and stock selection, with a primary focus on the U.S. and Hong Kong equity markets
- Conduct in-depth research and analysis on potential investment opportunities across various asset classes, including U.S. and Hong Kong-listed stocks, fixed income, funds, private equity, and alternative investments.
- Study the fundamentals of covered industries in depth using big data tools to assist in constructing target sectors worth investing in, with a focus on U.S. and Hong Kong market trends.
- Able to build financial models and utilize big data tools to conduct thorough fundamental analysis of the covered industries.
- Prepare in-depth reports and presentation slides to deliver the findings to the management team.
- Proficiency in tools such as Excel VBA, MS Power BI, Python, or equivalent for delivering reporting solutions and building semantic data layers is preferred.
Qualifications
Bachelor’s degree or higher in Economics, Actuarial Science, Data Analytics, Mathematics, or a related field.
Minimum 4 years of relevant experience in a buy-side research analyst role.
Experience with U.S. and Hong Kong markets is highly desirable.
Prior exposure to public equity is a strong advantage.