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Our client is a top tier multi-billion global investment management firm with offices across Europe, US and Asia. They are aggressively looking to hire PM's (they will hire teams as well as individuals), as well as experienced quant researchers that are looking to become PM's. They have access to a huge amount of capital and will consider experience across every asset class including Equity Stat Arb, Futures, FI and Commodities - anything liquid.
Their quant systematic strategies area has grown rapidly - they are looking at futures arb space - a lot more systematic macro - trading index futures - auction strategies - trading cross asset futures in a systematic manner.
You will have a good and successful trading track record running strategies from anything intra-day to ideally more longer term holding periods. P&L should be at least 10m+ with a realized Sharpe of >2.
This is a great opportunity for someone looking to have a larger capital allocation with a much better % P&L payout (one of the best on the market).