Marco Ma
AeroLeads people directory · profile

Marco Ma Email & Phone Number

Fixed Income Portfolio Manager at Guosen Securities
Location: Hong Kong, Hong Kong Sar 5 work roles 2 schools
LinkedIn matched
✓ Verified August 2026 3 data sources Profile completeness 86%

Contact Signals

LinkedIn Profile matched
3 free lookups remaining · No credit card
Current company
Role
Fixed Income Portfolio Manager
Location
Hong Kong, Hong Kong Sar
Company size

Who is Marco Ma? Overview

A concise factual answer block for searchers comparing this professional profile.

Quick answer

Marco Ma is listed as Fixed Income Portfolio Manager at Guosen Securities, a with 2403 employees, based in Hong Kong, Hong Kong Sar. AeroLeads shows a matched LinkedIn profile for Marco Ma.

Marco Ma previously worked as Fixed Income Assistant Portfolio Manager at Guosen Securities and Fixed Income Trader at Guosen Securities. Marco Ma holds Master Of Business In Economics, Business from 紐西蘭奧克蘭理工大學.

Company email context

Email format at Guosen Securities

This section adds company-level context without repeating Marco Ma's masked contact details.

Guosen Securities

Review company-level records connected to Marco Ma before choosing the right outreach path.

Profile bio

About Marco Ma

A market sensitive and experienced portfolio manager in field of fixed income, an expert in asset management, specialize in credit bond (LGFV included) investment and trading, also familiar with fixed income product life cycle. Attention for details, good team player and self-motivated, meticulous independent well organized with strong analytical mind and be able to work under pressure.

Current workplace

Marco Ma's current company

Company context helps verify the profile and gives searchers a useful next step.

Guosen Securities
Guosen Securities
Fixed Income Portfolio Manager
shenzhen, guangdong, china
Website
Employees
2403
AeroLeads page
5 roles

Marco Ma work experience

A career timeline built from the work history available for this profile.

Fixed Income Portfolio Manager

Current

Shenzhen, Guangdong, China

Investment Management: Produce strategy and plan for fixed income portfolio. Manage daily investment activities (liquidities & bonds). Take responsibility for the performance.Market Research: Analyze the macroeconomic environment and market trend for investment decision making.Risk Management: Access and evaluate portfolio risks, plan and conduct risk control measures.Product Development: Participate in product development and infrastructure enhancement projects, QDII included.Investor Relationship: Collaborate with sales team to maintain close connection with institutional investors, understand their demand and provide customized products and services.

Mar 2019 - Present

Fixed Income Assistant Portfolio Manager

中國 廣東省 深圳

Investment Management: Conduct detail investment plans (liquidities & bonds included) under manager’s authorization.Risk Management: Monitor investment and trading activities, identify potential risks and produce advice to manager.Product Development: Participate in product development and infrastructure enhancement projects.Information Disclosure: Produce portfolio operating report to institutional clients and supervisory authorities on a regular basis.Internal Coordination: Collaborate with other teams and divisions to smooth investment operation.

Jan 2016 - Feb 2019

Fixed Income Trader

中國 廣東省 深圳

Order Execution: Conduct daily trading orders (liquidities & bonds) accurately and effectively, and discover potential trading opportunities.Relationship Maintenance: Establish and maintain close connection with traders and brokers from other institutions and broking firms.Market Research: Analyze the market trend, collect information to support the portfolio investment decision.

Jun 2011 - Dec 2015

Customer Service Officer

Auckland, New Zealand

Customer Service: Provide timely responses on information collected from retail customers and follow-up the improvement progresses, to ensure a high level (95% or above) customer satisfaction.Internal Coordination: Collaborate with other divisions to ensure multi-goals can be achieved effectively. Participate in business information system update and maintenance on a regular basis.

Jan 2008 - Aug 2008

Customer Service Officer

Bp

Auckland, New Zealand

Customer Service: Provide daily customer services, provide assistance to manager on inventory and sales management.Information Collation: Classify information collected from retail section and report to headquarter on a regular basis.

Jun 2007 - Dec 2007
Team & coworkers

Colleagues at Guosen Securities

Other employees you can reach at guosen.com.cn. View company contacts for 2403 employees →

2 education records

Marco Ma education

FAQ

Frequently asked questions about Marco Ma

Quick answers generated from the profile data available on this page.

What company does Marco Ma work for?

Marco Ma works for Guosen Securities.

What is Marco Ma's role at Guosen Securities?

Marco Ma is listed as Fixed Income Portfolio Manager at Guosen Securities.

Where is Marco Ma based?

Marco Ma is based in Hong Kong, Hong Kong Sar while working with Guosen Securities.

What companies has Marco Ma worked for?

Marco Ma has worked for Guosen Securities, Acp Media, and Bp.

Who are Marco Ma's colleagues at Guosen Securities?

Marco Ma's colleagues at Guosen Securities include Zhuoyi Lyu, Tina Lee, 林贵洲, 江维娜, and Evadne Lee.

How can I contact Marco Ma?

You can use AeroLeads to view verified contact signals for Marco Ma at Guosen Securities, including work email, phone, and LinkedIn data when available.

What schools did Marco Ma attend?

Marco Ma holds Master Of Business In Economics, Business from 紐西蘭奧克蘭理工大學.

Find 750M verified contacts

Search by job title, company, industry, location, and seniority. Export verified B2B contact data when you need it.

People with similar names

Check these profiles if this is not the Marco Ma you were looking for.

View similar profiles