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Uses knowledge of investment products, investment principles, portfolio management and risk management to manage all aspects of active equity/ fixed income/ portfolios.
Leads and conducts research on developing quantitative investment models and portfolio construction methodology. Initiates and analyzes complex investment research topics and methodology issues by utilizing both internal and external resources
Initiates quantitative and qualitative analysis on investment strategy and product design topics. Offers opinions and recommendations to improve portfolio management process, quantitative models and trading effectiveness
Understands relevant regulatory requirements for each assigned portfolio, including portfolios with an oversight role. Regulations can be from different countries, depending on mandates
Delivers presentations and investment reviews for internal and external clients.
6 – 10 years of experience within an asset management environment focused on either Equities, Fixed Income OR Alternative Assets (REIT's, Infrastructure, Private Equity).
Track record of achieving year on year above benchmark performance.
Bachelors & Masters in Finance, Economics or related fields.
CFA Charter is required.
Interested candidates please apply to this advertisement directly or send your CV to email@example.com