Responsible for analyzing and managing the company’s equity portfolio, primarily focused on Taiwan equities, and also international equity and fixed-income opportunities to improve diversification and long-term returns. 主要負責公司股權投資組合的研究與管理,投資標的以台股為主, 並研究海外股票與債券投資機會,以提升資產配置與報酬穩定性。 1. Conduct research and valuation of listed equities股票研究 2. Provide investment recommendations and portfolio rebalancing suggestions估值分析與投資建議 3. Monitor performance and prepare regular investment reports定期追蹤績效並撰寫投資報告 4. Explore new opportunities in domestic and overseas markets探索國內外市場的新投資機會
待遇面議
(經常性薪資達 4 萬元或以上)
不拘
1. 具3–8年股票研究或投資管理經驗,熟悉台股市場並了解國際市場動向。 加分條件: 1. 具CFA或證券相關證照者優先 2. 英文流利佳