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Finance
Investment Fund Manager
Paramus, NJ
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Manage investment portfolios aligned with client objectives, risk profiles, and investment strategies. Conduct market research and analyze equities, fixed income, mutual funds, and other asset classes. Develop asset allocation strategies, monitor portfolio performance, and execute rebalancing. Assess investment risks, ensure regulatory compliance, and prepare portfolio performance reports. Collaborate with clients, analysts, and stakeholders to provide investment insights and recommendations. Overview Industry
IT•INFORMATION
TECHNOLOGY
Job Role
Portfolio Manager Employment type
Full Time
On Contract Work Mode
In Office Qualifications Any Graduate
Any Specialization Any Post Graduate
Any Specialization Any Doctorate
Any Specialization Job Related Keywords Portfolio Management Investment Strategy Asset Allocation Financial Analysis Risk Management Equity Fixed Income Wealth Management Market Research