Job Responsibilities:
1. Track and research macroeconomic policies and data of major global economies monitor changes and dynamics in economic and financial industry regulatory policies
2. Conduct analysis and research on various types of assets based on changes in the global macroeconomic environment (assets include, but are not limited to, global equities and equity funds, bonds and bond funds, commodities and related funds, currency exchange rates, etc.)
3. Complete irregular reports on the analysis of macroeconomic policies, hot events, and their market impacts
4. Write reports on data analysis and allocation strategy recommendations for major asset classes
5. Write reports on regulatory policies, market development, and industry trends.
Qualifications:
1. major in finance and economics, master's degree or above
2. Prior experience in research and report writing related to macroeconomics and major asset classes of more than three years is preferred
3. Having published research papers in finance or economics in CSSCI or SSCI journals is preferred
4. Proficiency in Python, Stata, R, or other analytical tools; experience in quantitative analysis is preferred
5. A strong sense of market awareness, passion for research, and curiosity are highly valued.