Fund managers have a wide range of responsibilities, including:
Investment Analysis: Conducting thorough research and analysis of potential investments to determine their viability and potential return. Portfolio Management: Constructing and managing a diversified portfolio to balance risk and return effectively. Risk Management: Identifying and mitigating risks to protect the portfolio’s value. Client Communication: Regularly updating clients on the performance of their investments and any changes in the investment strategy. Regulatory Compliance: Ensuring that all investment activities comply with relevant regulations and legal requirements.