Quantitative Portfolio Manager
7 months ago
Quantitative Portfolio Manager
Our client is a global investment management firm. They are looking for a talented Quantitative Portfolio Manager to join their team.
As a Quantitative Portfolio Manager, you will be responsible for:
- Creating and implementing sophisticated investment strategies through the development of advanced quantitative financial computer modeling systems to enhance analysis and research
- Acquiring historical and production data sources through diligent research to aid in the construction of investment models
- Linking diverse data sets from various providers by designing and implementing quantitative mathematical algorithms
- Engineering investment models that provide expert buy and sell recommendations for portfolios using advanced quantitative mathematical statistics and investment theory. These strategies explicitly forecast risk, return, and trading costs.
- Evaluating securities using cutting-edge quantitative models
- Continuously conducting innovative quantitative research and analysis to optimize existing strategies and explore new markets
- Monitoring and managing portfolio risk and performance.
- Collaborating with portfolio managers, traders, and other team members to optimize investment strategies.
- Contributing to the development and enhancement of the firm's investment process and technology infrastructure.
**Requirements**:
- An advanced degree in a quantitative discipline, such as finance, mathematics, or statistics.
- Demonstrated expertise as a Quantitative Portfolio Manager or in a similar role.
- Exceptional quantitative and analytical capabilities.
- Proficiency in programming languages, including Python, R, or MATLAB.
- Thorough understanding of financial markets and investment strategies.
- Outstanding problem-solving and decision-making skills.
- Aptitude for effective teamwork.
- Excellent communication and presentation abilities.
**Benefits**
Competitive benefits.
Job ID 5A983E7739
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