
Optimizing Portfolio Performance
7 days ago
The Quantitative Solutions Group focuses on optimizing the performance of investment portfolios by implementing top-down cross-asset strategies and rebalancing assets. This includes overseeing alternative investment approaches and quantitative solutions to maximize portfolio impact.
Job Role:
As a key member of the Quantitative Solutions Group, you will be responsible for generating investment insights to drive better decision-making and accelerate time to insights for stakeholders.
Main Responsibilities:
- Develop and implement data-driven investment strategies to optimize portfolio performance
- Conduct investment research and quantitative analysis supporting all stages of the portfolio implementation process, including model optimization, pre-trade cost modeling, post-trade analysis
- Collaborate with researchers, portfolio managers, and traders to ensure efficient implementation of portfolio strategies
- Design framework for trading analytics, monitoring, and reporting
Requirements:
- Bachelor's or Master's degree in Engineering, Computing, Mathematics, Statistics with exposure to financial markets
- 2-5 years with similar roles and experience in the industry
- Relevant experience in portfolio optimization, quantitative research, trading workflows, transaction cost analysis, generation of insights from transactions and market data
- Knowledge of financial instruments, including equities, fixed income, derivatives
- Strong programming skills in Python or R and experience in data analysis libraries
Benefits:
- A dynamic work environment with opportunities to innovate and pursue cutting-edge ideas
- A diverse and inclusive workplace culture that values professional excellence
- Flexibility to balance work and personal life with flexible work arrangements
- A comprehensive benefits package, including medical insurance, retirement plans, and paid time off
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