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AAA Rated Industrials   (5 year) - 5.22
AAA Rated Industrials (10 year) - 5.36
AAA Rated Industrials (15 year) - 5.46
AAA Rated Industrials (20 year) - 5.54
AAA Rated Industrials (25 year) - 5.60

BBB Rated Industrials   (5 year) - 5.82
BBB Rated Industrials (10 year) - 6.24
BBB Rated Industrials (15 year) - 6.50
BBB Rated Industrials (20 year) - 6.69

Income Security Dividends

Security Amount Ex-Div Date
AMY $0.04   Oct 17
BXT $0.62   Nov 19
CYCCP $0.15   Oct 16
DBY $0.07   Nov 21
EBB $0.70 IAD decreased from 0.7311 to 0.7000   Nov 26
EPK $0.62 IAD decreased from 0.6528 to 0.6250   Nov 26
JVI PR $0.08   Nov 26
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AVP/VP Credit Risk - Hedge Funds, China-Hong Kong
AVP/VP Credit Risk - Hedge Funds
Company: Morgan McKinley (HK)  
Location:   China-Hong Kong  
Compensation:   $50k - $100k HKD per month plus bonus  
Years Experience:   5-7 yrs  
Position Type:   Employee  
Employment type:   Full time  
Work permit req:   HKID  
Updated:   10 Oct 2008  
eFC Ref no:   340970  
 
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Credit Risk Analyst AVP/VP – US Investment Bank Our client a Global US Investment bank is looking for an experienced, driven individual to join a multi-jurisdictional team in HK.

As an experienced credit analyst your key responsibilities will include:

• Annual/interim credit reviews of new and existing hedge fund portfolio, including establishing PSE limits and setting credit terms; interfacing with clients/business units on capital markets products; Prime Brokerage, negotiating documentation and reviewing legal, margin, compliance and regulatory issues. • Manage impact of credit, market, franchise and operational risks on portfolio of counterparties. • Facilitate Product Credit Risk decisions ---approval, structuring, monitoring--- consistently. • Make daily decisions regarding trade approvals, significant violations and breaking of trades. • Proactive identification of deterioration of client’s risk stature & initiation of remedial management action as necessary, to secure Firm’s interest. • Demonstrate and maintain effective knowledge of CIB Credit Policies and procedures. • Industry specialization preferred but not a prerequisite: - Hedge Funds, Unlevered funds/Fund Managers and Corporates.

Minimum requirements • Strong analytical skills with good attention to detail. • Strong written and verbal communication skills with an ability to present analysis and recommendation in a succinct manner. • Sound risk and business judgment on the full spectrum of risk issues including franchise risk. • Ability to conduct onsite due diligence visits with salespeople or relationship managers. • Knowledge of various Capital Markets and derivative products and associated documentation. • Ability to work effectively under pressure. • Solid understanding of Policies and Procedures impacting the Credit Risk mgmt framework • Independent problem solving skills. • Solid computer literacy and ability to utilize effectively the various credit, risk and product systems appropriate to area of specialization • Ability to meet deadlines created due to business needs. • Bachelor's degree in Business Administration, Finance, Mathematics or Economics preferred. • 5-10 year’s credit risk experience. • An MBA, CPA, or CFA preferred and formal Credit Training is a plus.

Applicants please send your resume together with present and expected salary to nlambe@morganmckinley.hk Candidates not contacted within 4 weeks may consider their application for this role unsuccessful. Unless advised otherwise, unsuccessful candidates will be kept on file for future job opportunities. Your application may be forwarded to other international plc offices for recruitment purposes.

Personal data collected will be used for recruitment related purposes only and all personal data of applicants will be kept in strict accordance to the Personal Data Privacy Ordinance.

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Company:
Morgan McKinley (HK)
Email:
nlambe@morganmckinley.com
Website:
www.morganmckinley.com
Recruiter Ref:
NL2361

All jobs from Morgan McKinley (HK)
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