Emerging Markets Macro Portfolio Manager
7 months ago
Company Overview:
Caxton Associates, founded in 1983, is a global trading and investment firm with offices in London, New York, Monaco, Singapore, and Dubai. Caxton Associates’ primary business is to manage client and proprietary capital through multiple liquid global hedge fund disciplines, including discretionary macro, systematic macro, emerging markets macro, systematic trading, equity long-short, and event-driven strategies. Assets are managed via a broad mandate to trade in a variety of global markets and instruments with a focus on alpha generation for our clients.
Requirements
The Role:
Caxton Associates is seeking experienced Portfolio Managers specializing in Emerging Markets Macro strategies. In this pivotal role, you will be entrusted with managing a significant capital allocation and overseeing rigorous risk management across all active positions.
In our organization, we place a high value on collaboration, promoting regular and ongoing discussions about global macroeconomic trends, geopolitical developments, and the evolution of financial markets. Professionals who can extract key insights from their investment universe to inform and shape the broader team's perspective and leverage this collective knowledge to generate alpha within their mandate will find this is the perfect platform for their talents.
Key Responsibilities:
- Independently manage a significant capital allocation by creating, executing, and monitoring an Emerging Markets Macro strategy.
- Construct portfolios aimed at leveraging global macroeconomic themes and trends, generating asymmetric returns with minimal correlation to traditional capital markets, by identifying and exploiting variant perceptions in views on the evolution of macro economies, fiscal and monetary policy, diverging from what is priced in the market.
- Conduct thorough geopolitical and fundamental economic analysis on emerging economies, focusing on unique opportunity sets in developing economies.
- Implement stringent risk management, actively assessing the merits of all positions and investment theses.
- Collaborate effectively within a global team environment, learning from and adding value to collective insights and expertise.
- Ensure strict compliance with all industry rules, regulations, and internal company policies.
Requirements:
- Proven track record in Emerging Markets Macro, demonstrated by robust investment acumen and a Sharpe Ratio greater than 1.5.
- A minimum of 5 years of experience in portfolio management, preferably within a hedge fund.
- Proficiency in fundamental geopolitical and economic analysis, capable of conducting country-level deep dives to produce independent research that identifies idiosyncratic opportunities within the region.
- Demonstrated expertise in the economies within the region of focus (e.g., LatAM, CEEMEA, APAC), as well as the available liquid assets to structure and implement investment views.
- Humility and the capacity to thrive in a highly collaborative global team, with a strong desire to learn from and alongside other investors.
- Unwavering commitment to the highest standards of ethics and integrity.
- Exceptional decision-making abilities, capable of performing well under pressure.
Application Instructions:
To apply, please submit your CV, a detailed account of your investment track record (including evidence of a Sharpe Ratio greater than 1.5), and a comprehensive outline of your proposed investment strategy and process. If you're an experienced portfolio manager with a passion for collaboration and a keen interest in financial markets, we'd love to connect with you.
-
Discretionary Macro Portfolio Manager
7 months ago
Singapur, Singapore Caxton Associates Full timeCompany Overview: Caxton Associates, founded in 1983, is a global trading and investment firm with offices in London, New York, Monaco, Singapore, and Dubai. Caxton Associates’ primary business is to manage client and proprietary capital through multiple liquid global hedge fund disciplines, including discretionary macro, systematic macro, emerging...
-
Systematic Macro Portfolio Manager
7 months ago
Singapur, Singapore Caxton Associates Full timeCompany Overview: Caxton Associates, founded in 1983, is a global trading and investment firm with offices in London, New York, Monaco, Singapore, and Dubai. Caxton Associates’ primary business is to manage client and proprietary capital through multiple liquid global hedge fund disciplines, including discretionary macro, systematic macro, emerging...
-
Associate Portfolio Manager Program
7 months ago
Singapur, Singapore Caxton Associates Full timeCaxton Associates, founded in 1983, is a global trading and investment firm with offices in London, New York, Monaco, Singapore, and Dubai. Caxton Associates’ primary business is to manage client and proprietary capital through multiple global hedge fund disciplines, including discretionary macro, systematic macro, emerging markets macro, systematic...
-
Senior Associate/ Associate Director, Macro Risk
7 months ago
Singapur, Singapore Balyasny Asset Management L.P. Full timeOVERVIEW In the role of Senior Associate/Associate Director, Macro Risk, the employee report to the Director of Global Risk Management and will be responsible for the following: Own the risk monitoring and oversight of a set of portfolios with a cross-asset class exposure in linear and non-linear instruments Able to challenge & support Portfolio...
-
Macro Trader.
6 months ago
Singapur, Singapore Millennium Management Full timeMacro Trader We are looking for a Macro Trader to join an equity trading group in our global trading division. We are at the forefront of industry-leading initiatives applying technology, quantitative analysis, and data-driven methodologies to our execution process. Our team employs analysis of company trading activity to inform decision-making at the...
-
Macro Strategist, APAC
7 months ago
Singapur, Singapore Wellington Management Full timeAbout the Role The Position We are currently seeking to recruit an APAC Macro Strategist to join the Central Macro team, part of our Global Macro Strategy Group within Investment Research. The mission of the Global Macro Strategy Group is to provide a macroeconomic framework for investing, and more specifically to translate macroeconomic research...
-
Director, Global Macro Stratgy
7 months ago
Singapur, Singapore Company 269 - Manulife Investment Management (Singapore) Pte. Ltd. Full timeDescription The opportunity The Multi Asset Solutions Team (MAST) manages over $171 billion of multi-manager, multi-strategy portfolios distributed across the Institutional, Retail, Retirement and High Net Worth platforms at Manulife. The Global Macroeconomic Strategy Team is hiring a Global Macro Strategist. Reporting directly to the Global head...
-
Medium Frequency Systematic Portfolio Manager
7 months ago
Singapur, Singapore Caxton Associates Full timeCompany Overview: Caxton Associates, founded in 1983, is a global trading and investment firm with offices in London, New York, Monaco, Singapore, and Dubai. Caxton Associates’ primary business is to manage client and proprietary capital through multiple liquid global hedge fund disciplines, including discretionary macro, systematic macro, emerging...
-
Fixed Income RV Portfolio Manager
7 months ago
Singapur, Singapore Caxton Associates Full timeCompany Overview: Caxton Associates, founded in 1983, is a global trading and investment firm with offices in London, New York, Monaco, Singapore, and Dubai. Caxton Associates’ primary business is to manage client and proprietary capital through multiple liquid global hedge fund disciplines, including discretionary macro, systematic macro, emerging...
-
Macro Structuring Director
2 months ago
Singapur, Singapore United Overseas Bank Full timeMacro Structuring DirectorAt United Overseas Bank, we are seeking a highly skilled Macro Structuring Director to join our Global Markets team. As a key member of our team, you will be responsible for developing and implementing financial solutions for asset and liability management across multiple asset classes.Key Responsibilities:Pricing and developing...
-
Quantitative Risk Analyst
4 months ago
Singapur, Singapore Point72 Full timeThe role: Point72 Asset Management is seeking a mid-level Quantitative Risk Analyst to join its Risk & Quantitative Research team. The RQR team plays a vital role in the Firm’s investment process, building a deeply rooted culture of efficient risk management and factful performance attribution. Quantitative Risk Analysts perform research to...
-
Portfolio Manager, Derivatives
7 months ago
Singapur, Singapore AIA Full timeFIND YOUR 'BETTER' AT AIA If you believe in better, we’d love to hear from you. About the Role Join our Derivatives team! In this role, you will be responsible for managing cross-asset derivatives portfolios outsourced by AIA Insurance Business Units to AIA IM, blending a proper perspective on financial and derivatives markets and an effective...
-
Portfolio Manager, Mid Frequency Trading
2 months ago
Singapur, Singapore The Edge Partnership Full timeKey responsibilities Construct and manage liquid strategies. Idea generation and trade execution. Risk management. Collaborate with other pods, and eventually hire your own team. Keep up to date with market trends and macroeconomic factors. Role requirements Systematic and liquid strategy in global macro products, futures, equities. At...
-
Macro Quantitative Analyst
7 months ago
Singapur, Singapore Point72 Full timeRole A discretionary macro investment team is looking to add a quantitative analyst/developer with strong quantitative skills to improve the quantitative methods used by the pod to analyze, construct and manage their portfolio within the EM Asia and DM FX and rates markets. This candidate will work closely with other quants and senior team members and...
-
Quantitative Portfolio Manager
2 months ago
Singapur, Singapore GIC Full timeGIC is a leading global long-term investor, working at the point of impact for Singapore's financial future and the communities we invest in worldwide.Fixed Income and Multi AssetOur team employs a range of investment strategies that span macro, credit, and quantitative investing, including multi-asset, benchmark-agnostic, constrained, indexed, and thematic...
-
Singapur, Singapore United Overseas Bank Full timeDirector, Macro Structuring NEA, Group Global Markets Posting Date: 20-May-2023 Location: Singapore (City Area), Singapore, 048624 Company: United Overseas Bank Ltd About UOB United Overseas Bank Limited (UOB) is a leading bank in Asia with a global network of more than 500 branches and offices in 19 countries and territories in Asia...
-
Singapur, Singapore GIC Full timeExternal Managers Department (EMD) The External Managers Department seeks to identify and develop relationships with the best breed of global investment managers to benefit GIC at large, and at the same time capturing investment opportunities to outperform our benchmarks. We are looking for a suitable candidate to join our team as a Portfolio...
-
Engineer, Macro Application Support
7 months ago
Singapur, Singapore Balyasny Asset Management L.P. Full timeOVERVIEW This position is primarily focused on the support of front office applications, data and their integration with middle and back-office systems. The role will have a high level of interaction with the investment staff including, Portfolio Managers, Traders, and Analysts to proactively discover and understand issues and potential workflow/system...
-
Portfolio Operations Associate
3 weeks ago
Singapur, Singapore The Edge Partnership Full timeKey responsibilities Support Portfolio Managers by monitoring portfolios and assisting with risk rebalancing. Collaborate with teams like Account Managers, Product Managers, Legal, Compliance, and Operations. Provide operational support and develop tools and reports to improve workflows. Offer creative solutions to enhance portfolio management...
-
Portfolio Manager
7 months ago
Singapur, Singapore AIA Full timeFIND YOUR 'BETTER' AT AIA If you believe in better, we’d love to hear from you. About the Role The main objectives of this position are to manage general account and ILP funds that invest in external mandates/funds within Equities, reporting to the Head of Global Equities, in order to consistently deliver alpha from investments in equity markets,...