Jingting Hu is a Senior Portfolio Analyst on the Multi-Asset Management team. She joined the investment management industry as a Portfolio Analyst in 2017 and was promoted to Senior Portfolio Analyst in 2023. She’s passionate about multi-asset portfolios.
She uses a top-down approach and a global macro strategy to identify investment opportunities worldwide through different asset classes, including risk on/off, relative equity allocation, relative fixed income strategy, relative currency overlay, and U.S. sector strategy.
Jingting has a solid understanding of macro-economic theories. She employs fundamental analysis and quantitative models to support the decision making of tactical asset allocation calls. Her focus is active currency management that covers G10 Currencies and Emerging Market Currencies. She also actively participates in Emerging Market Equities and U.S. sectors research.
Jingting is an Honours graduate of the Economics and Financial Management program at Wilfrid Laurier University and has also obtained a Master of Economics degree from University of Ottawa. She's a CFA charterholder and an FRM.