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Quantitative Research Analyst
3 weeks ago
We are seeking a talented Quantitative Research Analyst to join our Risk Management & Quantitative Research team at Point72 Asset Management.
The successful candidate will be responsible for developing innovative risk management approaches, tools, and analytics by leveraging the collective knowledge of the platform. They will work closely with portfolio managers to improve the quality of portfolio construction, setting appropriate risk guidelines and limits, actively managing firm's risk exposures, and participating in capital allocation process to maximize risk-adjusted returns and profitability.
Responsibilities:
- Developing innovative risk management approaches, tools, and analytics.
- Working with portfolio managers to improve the quality of portfolio construction.
- Actively managing the firm's risk exposures.
- Participating in the capital allocation process to maximize risk-adjusted returns and profitability.
Requirements:
- Five or more years of experience as a risk manager or a portfolio manager with a focus on hedged discretionary or systematic equity strategies.
- Detailed understanding of equities risk management, portfolio construction (multifactor models, optimization techniques), and trading (slippage analysis).
- Experience with macro products is a plus.
- Knowledge of quantitative finance and statistical programming tools, ideally SQL and Python.
- Strong communication skills, an ability to clearly and concisely articulate complex ideas to senior management and portfolio managers.