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Equity Derivative Portfolio Manager
3 months ago
Role:
Equity Derivative Portfolio Manager
Team:
Quantitative Portfolio Management
Department:
Investment Management
Employment Type:
Full-Time
Location:
Boston, MA Hybrid (3+ days in office per week)
The Opportunity
The Equity Derivative Portfolio Manager will be responsible for managing equity derivative portfolios in one or more segments of the general or corporate investment accounts. This includes performing daily portfolio management activities, such as rebalancing risk and evaluating tactical relative-value tradeoffs, but also leading simulation and back testing projects to research alternative hedging strategies. The Equity Derivative Portfolio Manager will work closely with teams across Investment Management, Barings, and Enterprise Risk.
The Team
The Quantitative Portfolio Management (QPM) team has primary focus in asset-liability management (ALM), product pricing, and the formulation and execution of quantitative strategies that enhance policyholder surplus and mitigate unwanted risks in the portfolio. The team oversees all derivative-related aspects of MassMutual's portfolio management process, managing exposure to interest-rates, foreign exchange rates, credit spreads, volatility, and equity. A small and highly collaborative team, QPM works with other groups in Investment Management to manage MassMutual's product portfolios and the approximately $250 billion General Investment Account (GIA). This high-profile group works across all of Investment Management as well as with our other internal stakeholders including product, actuarial, treasury, accounting, risk, compliance, and external partners, including our primary asset management subsidiary Barings and the major Wall Street derivative broker/dealer counterparties.
The Impact:
The Equity Derivative Portfolio Manager will be accountable for the following:
Together with the quantitative PM, co-manage equity derivative portfolios in one or more segments of the general investment or corporate investment accounts.
Identify market opportunities, analyze alternative hedging strategies, and execute transactions in order to increase cost-effectiveness of these portfolio.
Independently perform daily portfolio management activities, reviewing risk, activity, profit and loss attribution, and other lifecycle of portfolios.
Lead special simulation, back testing, and/or other research projects.
Collaborate with colleagues in other areas of MassMutual as needed enterprise risk, corporate actuarial, finance and accounting, etc.
The Minimum Qualifications
Bachelors in STEM or related degree
7+ years of market expertise in equity derivative products
7+ years of quantitative expertise: statistics, mathematics, and computer science (python / SQL required)
The Ideal Qualifications
10+ years of market expertise in equity derivative products
Experience on cross-asset volatility markets, including interest rate volatility.
Strong understanding of portfolio management and ALM in a life insurance company
Deep knowledge of derivatives in all dimensions risk, economics, tax, accounting
Advanced quantitative degree (MFE, PhD)
Proven ability to develop market views, take market risk and be accountable to the profit/loss
Strong background/understanding of capital markets and financial instruments.
Strong communication skills and ability to discuss technical topics to non-experts
What to Expect as Part of MassMutual and the Team
Regular team meetings
Focused one-on-one meetings with your manager
Access to mentorship opportunities
Networking opportunities including access to Asian, Hispanic/Latinx, African American, women, LGBTQIA+, veteran and disability-focused Business Resource Groups
Access to learning content on Degreed and other informational platforms
Your ethics and integrity will be valued by a company with a strong and stable ethical business with industry leading pay and benefits
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