・Contribute to capital markets and asset allocation research efforts across all asset classes by understanding the key drivers of asset markets and identifying attractive new investment strategies and
・Prepare research and recommendation summaries for use by both internal and external investment committees as well as discussing the advantages and disadvantages and key risks of investment strategies.
・Contribute to the ongoing research agenda in cooperation with the ・Investments team.
・Develop, enhance and maintain our own portfolios and client portfolios.
・Work collaboratively with global investment professionals to continue to build a leading global investment management business and deliver better investing outcomes to our clients.
・Proactively participate in the global investment meetings.
・Support and contribute to marketing, sales and distribution here in Japan.
【必須（MUST）】・A bachelor’s degree is required
・Understanding of traditional finance, economics, investing and behavioral finance.
・Communication skills in English. May not need to be fluent but need to communicate with Investment Management group professionals around the world.
【歓迎（WANT）】・CMA or CFA designation is highly desirable.
・1－5 years relevant investment industry experience, preferably multi asset portfolios, together with experience in collaborating with offshore investment professionals.
・Good understanding of capital market theories including asset valuation and risk, and theories of combining assets into a multi asset portfolio.
・Experience implementing portfolios using several different assets
Equities, Fixed Income and FX through direct securities, futures, ETFs and external managers as examples.