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Your experience and responsibilities will include:-
Research and development of statistical and machine learning-based trading models
Alpha factor research to develop and improve profitable systematic trading strategies.
Alpha research to generate new trading signals and conducting alpha generation process
Conceptualizing strategies and develop proprietary tools to facilitate research and portfolio management.
Development of statistical libraries
The ideal candidate will have a PHD in a Mathematical subject from a leading school and be working in a dedicated systematic equities fund with extensive experience developing and managing strategies with a holding period of a few hours to a few days.
This is an excellent opportunity to join a team who a well-regarded and are currently expanding.
In addition there is an salary package on offer. Prior buy side experience preferred.
In order to apply please send your CV in WORD FORMAT to email@example.com or call 02080044001 | +1 (917) 809 8014