Analyst, Fundamental Research
*This full-time role for 2027 will be retained after 4-8 weeks of internship in late 2026 or early 2027. About PinPOINT ➢ Established in 1999, Pinpoint Asset Management (Singapore) Pte. Ltd. (PinPOINT) is managing over $3bn+ and has exposure to global markets; ➢ PinPoint is a multi-billion hedge fund platform with around 100 professionals across 5 offices in Asia; ➢ PinPoint is devoted to generating stable returns for investors and becoming the best hedge fund platform in Asia with fundamental research and Long/Short strategy. Responsibilities
- Receive comprehensive training and practice on fundamental research for real-life cases, reporting to Portfolio Manager and Chief Investment Officer (“CIO”) directly;
- Conduct fundamental research on key themes and dig deep into the upstream and downstream supply chain of specific industries;
- Track market trend and portfolio status quo closely under the guidance of the portfolio managers;
- Pitch investment ideas to portfolio managers or CIO with reasonable valuation, modeling and downside protection;
- Prepare for further development including portfolio construction and risk management under Risk and Compliance guidance.
Requirements
- We are open to Bachelor’s degree and above (candidates with a Master’s degree is preferred), with preference in science related majors, including Mathematics, Physics, Statistics, Actuarial, Financial Engineering, Computer Science, Quantitative Finance and etc.;
- We prefer outgoing personalities and strong will to face direct pressure and challenges from the market;
- We hope the candidates with strong commitment to public market investment, who can devote him/herself to this industry with a clear goal of being portfolio manager in the future;
- Programming skills can be a plus.
Our Offer
- We provide industry-leading comprehensive training on both fundamental research, portfolio construction and risk management from CIO and Coach, Director of Research.
- We have clear and accelerated career progression for Research Associate to become an independent Portfolio Manager with different stages, including paper portfolio management, an independent book with real money trade, and a sizable book of portfolio management with potential team build-up.
- We share full support including all-round data and research resources from top-notch onshore and offshore brokers, including Bank of America Merrill Lynch, Goldman Sachs, J.P. Morgan, Morgan Stanley, CICC, CITIC CLSA and etc.
- We offer not only a full-time buyside job, but a rare and challenging opportunity to become an independent portfolio manager, through systematic training, comprehensive practice, continuous accumulation and ultimate evolution. We hope your value can be recognized by fame and fortune through the development within our platform in the long-run.
Career Progression Internship → Analyst → Research Associate → Junior Associate Portfolio Manager → Portfolio Manager Internship: Gain exposure to the hedge fund industry through hands-on research projects and mentorship from experienced portfolio managers; Analyst: Participate in cross-functional rotations and receive training in financial modelling, valuation, macro research, and programming; Research Associate: Develop expertise in fundamental research, portfolio construction, and risk management while building investment ideas and managing a simulated portfolio; Junior Associate Portfolio Manager: Begin managing a real-money portfolio, with performance-based incentives tied to investment results; Portfolio Manager: Lead and manage a sizable portfolio, participate in profit sharing, and have opportunities to build and grow an investment team.