China Bond Portfolio Manager — Fundamental / Discretionary
DARMAX GLOBAL Hong KongChina Bond Portfolio Manager — Fundamental / Discretionary
DARMAX GLOBAL Hong Kong
A leading global fixed income investment firm is seeking a Portfolio Manager to run a dedicated China bond strategy. This is a fundamental, discretionary mandate — not a systematic or quantitative seat — for an investor who forms high-conviction views on China rates and credit and manages risk actively.
The role
- Manage a China fixed income book across onshore and/or offshore markets (rates, credit, relative value)
- Generate directional, relative-value, and credit-selection ideas grounded in fundamental research
- Own position sizing, risk management, and P&L
- Engage with the street, issuers, and policy developments to stay ahead of the market
You will have
- A demonstrable PM-level track record managing China fixed income on a discretionary basis
- Deep knowledge of China rates and credit markets, issuers, and market structure
- Strong macro and credit judgement, and an established market network
- Native or fluent Mandarin
Why apply
A genuine portfolio-manager seat with capital, autonomy, and a platform built for fixed income investing. Highly competitive compensation, structured to reward performance.
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