
Portfolio Manager- Global Macro
6 days ago
Olam Fund Management runs a systematic hedge fund with a mandate to generate positive absolute returns. Using systematic multi-asset, multi-strategy and multi-portfolio approach, the hedge fund invests in global financial and commodity markets trading in more than 30+ exchanges and OTC trading
venues. The investment mandate of the fund includes the Global Macro Portfolio, Global Commodity Portfolio and China Onshore Macro Portfolio. Typical holding period for mid frequency strategies is between 5 to 15 days and intraday strategies (market taking) is from few hours to 2 days. We have live track record of more than 9 years with realised Sharpe Ratio of >1.
**Job description**
The performance of the portfolio team would be aligned with transparent variable pay structure. The position reports to CIO of the company.
**Qualifications**
- PhD (or exceptional MSc) in a quantitative field like econometrics, mathematics, physics, or statistics
- Strong programming skills in Python, SQL etc with hands on coding experience
- Ability to run the desk as an independent PM and manage the entire life cycle from data transformation, strategy development, portfolio construction and trade execution.
- 5-10 years of Global Macro trading experience as a Portfolio Manager in a hedge fund or proprietary trading environment with a realised Sharpe of > 1
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