Posted By
Posted in
Banking & Finance
Job Code
1541942
Job Responsibilities
- Construct portfolios that align with the clients investment objectives and risk tolerance.
- Regularly review portfolio performance and make adjustments as needed.
- Implement risk management strategies to safeguard client capital.
- Perform fundamental research on various stocks across different market capitalizations.
- Provide regular updates to clients on portfolio performance and investment strategies.
- Conduct client meetings and presentations to explain portfolio strategy, market outlook, and investment rationale.
- Actively manage market volatility and ensure portfolio stability through tactical adjustments.
- Prepare detailed performance reports and analysis for both internal stakeholders and clients
- Work closely with the research, trading, and compliance teams to ensure smooth portfolio management processes.
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Posted By
Posted in
Banking & Finance
Job Code
1541942