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Equity Assistant Portfolio Manager/Researcher, Market Neutral |
| Eligibility : |
Graduate level degree in a Financial/Economics field or hard science. |
| Location : |
USA-CA-San Francisco |
| Designation : |
Equity Assistant Portfolio Manager/Researcher, Market Neutral |
| Details :: |
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Barclays Global Investors (US) |
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The company is America's largest money manager, providing structured investment strategies such as indexing, risk-controlled active products, and exchange traded funds to investors worldwide. For 35 years, The company has been at the forefront of developing innovative investment ideas, applying science and technology to the investment process.
Overview
We are looking for an individual to help us in the managing and the research agenda of a sector timing long-short fund within U.S. Active Equity. It is expected that the successful candidate will focus on the development of total-return strategies, including industry-rotation and market timing as well as participate more broadly across the group’s agenda, including industry-specific stock-selection strategies. The successful candidate will also be expected to, over time, take day-to-day responsibility for the management of one or more strategies within the group in addition to signal development and research responsibilities.
Responsibilities
Combine fundamental analysis skills and investment insight with disciplined quantitative modeling skills to support the continuing development of the group’s strategies. Focus is expected to be the development of market timing and industry timing strategies.
Daily fund management responsibilities, including: portfolio re-balancing, submitting trade lists, performance attribution, regular performance commentaries, and daily monitoring of portfolio positions.
Regular evaluation of portfolio construction design including back testing as well as transaction cost and risk model evaluation.
Regular evaluation of signal and model performance as well as portfolio management decision performance.
Qualifications
Strong quantitative finance background, including familiarity with portfolio construction methodology as well as forecasting and statistical analysis methodology.
Experience and demonstrated skill in fundamental analysis and financial statement analysis. Ideally the candidate would have prior exposure to macroeconomic modeling literature as well as market timing and industry selection strategies.
Basic programming skills as well as familiarity with statistical analysis software (preferably SAS).
Familiarity with financial data as well as financial data retrieval tools.
Experience with the handling and analysis of large data sets.
Familiarity with the theory of financial markets and investor behavior.
Preferred 2+ years experience in a quantitative research-oriented position or equivalent sell-side research environment. Ideally, the candidate has experience in a team managing mixed stock-selection and market timing strategies and/or demonstrated investment skill in a particular sector (such as Technology or Consumer Cyclicals).
Graduate level degree in a Financial/Economics field or hard science. Outstanding candidates with undergraduate degree from a top school and 4+ years of sell-side or buy-side experience meeting the above qualifications will also be considered.
CFA preferred
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The company is America's largest money manager, providing structured investment strategies such as indexing, risk-controlled active products, and exchange traded funds to investors worldwide. For 35
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| Salary : |
Not specified |
| Company URL : |
http://www.barclaysglobal.com |
| Last Date : |
2008-03-05 |
| Address: |
Barclays Global Investors (US) |
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