For Recruiters

Junior Quant PM

Selby Jennings
Singapore
Posted 5 days ago In-Office Permanent Negotiable
As experts in Asia, our client is a global asset manager that is invested in giving their clients innovative, cutting-edge and sustainable investment solutions. They are invested in knowledge, which is why their deep understanding of Asian markets, paired with global expertise, is their key differentiator. They have invested in an unparalleled on-the-ground presence in 11 Asian markets , as well as distribution offices in North America and Europe. They manage a total of USD258 billion across equity, fixed income, multi asset, quantitative and alternative strategies on behalf of institutional and individual investors globally.

As experts in Asia, our client is a global asset manager that is invested in giving their clients innovative, cutting-edge and sustainable investment solutions.

They are invested in knowledge, which is why their deep understanding of Asian markets, paired with global expertise, is their key differentiator. They have invested in an unparalleled on-the-ground presence in 11 Asian markets , as well as distribution offices in North America and Europe. They manage a total of USD258 billion across equity, fixed income, multi asset, quantitative and alternative strategies on behalf of institutional and individual investors globally.

KEY RESPONSIBILITIES

This is a Portfolio Management position with a number of key responsibilities, including:

  • Support the management of investment portfolios
  • Manage tactical asset allocation positions
  • Implement strategic asset allocation investment objectives including asset mix/liabilities, expected returns/risk and capital ratio adequacy
  • Construct TAA model portfolio through optimisation, testing and capacity assessment of TAA models
  • Provide ongoing investment updates to internal and external clients
  • Evaluate the effects of the wider economic and market environment on various asset classes including equities and fixed income, and investment strategies
  • Deliver well researched, well thought out analysis and backs this with robust, scalable technology capabilities to allow the team to put ideas into practice efficiently and quickly

KEY REQUIREMENTS

The candidate will have 3-6 years experience in multi asset allocation strategies with proven track record in carrying out relevant research and analysis and deep range of skills in data driven quant approach to investments


ATTRIBUTES:

  • A passion for investing with strong, demonstrable skills
  • As well as humility and commitment
  • Strong coding skills in R & Python
  • A deep understanding and maturity in macro investing
  • Open to challenge and debate
  • Ability to work well in a small cohesive team
  • Able to work independently Demonstrates leadership qualities
  • A critical thinker
  • Articulate, with an ability to communicate effectively with all stakeholders
  • Resourceful and flexible, able to respond in a rapidly changing environment
  • Attention to detail
  • Strong analytical skills
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Job ID  PR/361498
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