Shangyin Fund Management Co., Ltd. (hereinafter referred to as "Shangyin Fund" or the "Company") was established in August 2013 upon the approval of the China Securities Regulatory Commission (CSRC) under Document [2013] No. 1114. Its shareholder is Bank of Shanghai Co., Ltd. (100% shareholding), and its registered capital is RMB 300 million. The Company's business scope includes fund raising, fund sales, asset management, specific customer asset management, and other businesses approved by the CSRC.
Leveraging the strong background of Bank of Shanghai and riding the momentum of the era of large-scale asset management, Shangyin Fund has gradually grown into a public fund management company that is professional, efficient, operationally stable, and distinctive.
The Company always prioritizes investor interests, adheres to the strategic positioning of a "boutique fund company", improves a precise and efficient marketing system, promotes the construction of a "platform-based product center" and an "integrated investment and research center", and drives continuous improvement through the three engines of "products, investment research, and marketing". It practices the concept of high-quality development and strives to create long-term stable investment returns for investors.
What does Shangyin Fund Management Co., Ltd. require? Who is Shangyin Fund hiring? Shangyin Fund recruitment: 在校学生类占比最多占45.2%,其次是金融类(银行/基金/证券/期货/投资)占25.8%. What education can get in at Shangyin Fund? 本科占比最多占58.1%,其次是不限占29%. High education required at Shangyin Fund? 硕士占12.9%. Work experience required at Shangyin Fund? 不限占比最多占54.8%,其次是3-5年占16.1%. Where are the job locations at Shangyin Fund? 上海占比最多占87.1%,其次是北京占12.9%. Based on job postings from the past year, for reference only.
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