Our "new world" investment philosophy and approach stands uniquely amongst traditional equity managers, as does our flagship New World Fund which has demonstrated very strong risk adjusted returns and manager skill since inception.
Nanuk's investment team is highly skilled at generating investment ideas, conducting fundamental industry & stock analysis and constructing well-balanced, diversified portfolios that have beneficial risk-return outcomes for our clients.
Nanuk is growing. We seek to add an Analyst / Portfolio Manager to our Investment team.
In this role...
Your bottom-up fundamental research focus is aimed at identifying and understanding the opportunities and risks of global companies which fall within Nanuk's investment themes (including clean energy, energy efficiency, healthcare technology, vehicle electrification, robotics and advanced materials).
Your experience and knowledge in analysing listed global companies, coupled with your skill and track record in portfolio construction and risk management, is aimed at generating additive investment insight and manager skill to further enhance portfolio outcomes.
We are passionate about our pursuit of excellence in achieving long-term investment success for our clients. Accordingly, the Analyst / Portfolio Manager role requires...
Outstanding academic qualifications and a minimum of five years experience within a global fund management context or other relevant experience
Open-mindedness, lateral thought, analytical rigor, collaboration and teamwork.
If you have the above experience, skills and attributes – and you're highly motivated by personal and professional success – we'd like to hear from you.
Please kindly click on the APPLY button to send us your updated CV with current and expected salary.