- Develop in-depth fundamental knowledge of a sector or industry, as well as broad base knowledge of financial markets - Identify pricing inefficiencies and collaborate with traders to monetize predictions - Identify new sources of data and transform unstructured data sets into signals - Own the information space you work within (i.e. large-cap tech) by monitoring trends in the marketplace - Employ holistic approach to predicting distribution of outcomes and making volatility predictions Qualification: Undergraduate and/or postgraduate degree from a top school in economics/finance/commerce or STEM Excellent academic track record 4+ years equity analyst/portfolio manager experience at an investment bank, independent research provider, asset manager, or proprietary trading firm Fluency in written and spoken Chinese Motivation to function independently in a fast-paced and dynamic environment Exemplary written and oral communication skills