Investment Product Manager
6 days ago
The Fisher Investments Institutional Group (FIIG) caters to a wide array of global investors, including corporate, public, and multi-employer pension funds, foundations, endowments, insurance and financial institutions, as well as governments. Currently, we oversee approximately $20B in assets under management (AUM) with a focus on Responsible Investments adhering to ESG (Environmental, Social, Governance) and SRI (Socially Responsible Investing) guidelines.
The Opportunity:
As a Responsible Investments Product Manager, you will take the lead in managing the lifecycle of our RI-related investment offerings. This encompasses a variety of ESG, Sustainable, Impact, Paris-aligned, and SRI branded strategies. You will play a pivotal role in developing product strategies, conducting competitive research, designing and enhancing products, and positioning them effectively in the market. Collaborating with various FIIG teams—including New Strategy Development, Engagement, Sales/RFP, Marketing & Content—as well as other firm groups such as Portfolio Management and Legal Compliance, you will ensure that our offerings align with global ESG trends and regulations.
Your Day-to-Day:
- Develop and support the ESG-product strategy, roadmap, and business cases with firm stakeholders.
- Conduct thorough market and competitor analyses to enhance the design of equity and fixed-income ESG products.
- Create compelling external product positioning and value propositions for our ESG investment process.
- Stay informed on evolving ESG industry standards, best practices, and regulatory developments.
- Monitor market dynamics, including external organizations and third-party reporting frameworks (e.g., PRI), to better understand evolving market standards and client preferences.
- Assist the Responsible Investments team with daily client and prospect inquiries, acting as an internal ESG authority to support training efforts.
Your Qualifications:
- 5+ years of experience in the financial services sector, including a minimum of 1 year in ESG product development, management, or manager research within an asset management or investment consulting firm.
- Robust understanding of global equity markets and institutional investors, with the ability to articulate complex investment concepts effectively.
- In-depth knowledge of ESG-related investor and regulatory trends in the EU (such as SFDR), UK, and US.
- A genuine passion for Responsible Investments and asset management.
Why Fisher Investments:
At Fisher Investments, we strive for a greater purpose: to enhance the investment universe. We take pride in fostering an inclusive culture and providing a personalized learning and development framework for every employee. We've earned the Great Place to Work Certification thanks to our exceptional team. We believe in investing in our people by offering a comprehensive benefits package that includes:
- 100% paid medical, dental, and vision premiums for you and your qualifying dependents.
- A 50% match on your 401(k), up to the IRS maximum.
- 20 days of paid time off (PTO), in addition to 10 paid holidays.
- Family support programs, offering an 8-week paid primary caregiver leave, $10,000 in assistance for fertility, family forming, and hormonal health, as well as backup child, adult, and elder care services.
- This position is in-office. Depending on your role, tenure, and performance, you may have the opportunity to participate in our hybrid work-from-home program, though this is subject to change.
Fisher Investments is an equal opportunity employer.
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