Opportunity Description
First Plus is a licensed asset management firm deeply rooted in Asia-Pacific, with a strategic focus on the Asia-Pacific region. Grounded in fundamental research and shaped by both eastern and western perspectives, we have developed a distinct investment philosophy forged through market cycles and real-world complexity.
This role is one of the core positions within the firm's investment research framework, responsible for providing directional research support across the firm's investment strategies through the lens of macroeconomics, policy analysis, and capital flows. The Macro Analyst will serve as a bridge between research, strategy, and investment — integrating macroeconomic analysis, asset allocation research, style rotation modelling, and quantitative methods to identify market cycle shifts, build cross‑asset and style rotation frameworks, and deliver systematic research support for multi‑asset investing and strategic allocation.
Key ResponsibilitiesReady to Apply?
Submit your application for Macro Analyst at First Plus Asset Management
Apply for this Position