The role is a multi-asset position however applicants with a Fixed income Bias with experience working in a fund will also be a good fit. The fund specialise in multi-asset investing across liquid markets, and have an experienced investment team of economists, portfolio managers and risk experts who identify diversified return sources from a combination of fundamental and quantitative factors.
They invest across global markets and asset classes with a range of absolute and relative return strategies. Their proprietary risk management techniques are designed to maximise risk adjusted returns.
You will be working on portfolio implementation, portfolio strategy and implementation for the absolute return and discretionary multi asset macro fund.
Your responsibilities will include:
Applicants must have:
The ideal candidate will have experience working as a multi asset investment analyst/Assistant Portfolio manager/portfolio analyst.
Buy side experience is essential.
The ideal candidate will have experience in a large established Asset manager and be looking for a position in a fund where they will be more involved in the investment process.
This is an excellent opportunity to join a firm that have a good track record and offer an individual the opportunity to work in a fast paced environment with some of the smartest minds in the Macro space.
This is a fund that has a flat structure and rewards its top performers highly therefore applicants should understand the hedge fund culture and be an outperformer.
Applicants must have a relevant degree from a Top global school.
This role is relevant for individuals with around 2-5 years’ experience.
In order to apply please send your CV in WORD FORMAT to firstname.lastname@example.org or call 02080044001