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American Century Investments is a leading global asset manager focused on delivering investment results and building long-term client relationships while supporting research that can improve human health and save lives. Our firm's 1,400 employees serve financial professionals, institutions, corporations, and individual investors, offering a wide range of investment strategies across various disciplines.
We are committed to providing institutional-quality, actively managed solutions with a performance-centered mindset. Our expertise spans global growth equity, global value equity, disciplined equity, multi-asset strategies, global fixed income, alternatives, and ETFs.
As a Quantitative Researcher on our Global Analytics team, you will partner with portfolio managers on empirical research, develop qualitative signals, back test quantitative investment strategies, and develop investment solutions. You will build predictive models for global rates, global inflation, global currencies, global credits, sector rotation, equity factor rotation, fixed income relative value, and asset allocation.
You will perform global macro research to identify emerging macroeconomic risks, trends, economic regimes, policy implications on capital markets and asset allocation. You will design and develop analytical tools to manage multi-asset strategies, target risk portfolios, and performance analysis.
You will actively collaborate with investment teams and contribute to research, investment idea generation, product development, and portfolio management.
Requirements
We are seeking a candidate with a Bachelor's/Advanced degree in Financial Economics, Applied Mathematics, Physics, Statistics, or other quantitative disciplines. You should have 2-5 years of experience in a quantitative role within asset management or financial services. You should have an understanding of global capital markets, economic data, and macroeconomic interrelationships.
You should have experience in asset allocation, traditional and/or alternative investment strategies across different asset classes. You should have an advanced understanding of statistical techniques and time series/cross-sectional data modeling using Python, R, or similar. You should have experience using Factset and/or other portfolio management and data toolkits.
Qualities
We are looking for a candidate with a practical approach to problem-solving, strong economic intuition, and an investor mindset. You should understand the pitfalls of models and question results. You should be able to flourish with change, work well with ambiguity, challenge the status quo, and strive for continuous improvement.
You should be curious, drive innovation, support new ideas, and adapt to a range of situations. You should be able to effectively communicate ideas, take accountability for results, and function well in a team.
We are an equal opportunity employer and welcome applications from diverse candidates.
Additional Information
American Century Investments is committed to complying with the Americans with Disabilities Act and all other applicable Equal Employment Opportunity laws and regulations. As such, American Century strives to provide a reasonable accommodation to any qualified individual under the ADA to perform essential job functions.
American Century Investments believes all individuals are entitled to equal employment opportunity and advancement opportunities without regard to race, religious creed, color, sex, national origin, ancestry, physical disability, mental disability, medical condition, genetic information, marital status, gender, gender identity, gender expression, age for individuals forty years of age and older, military and veteran status, sexual orientation, and any other basis protected by applicable federal, state, and local laws. ACI does not discriminate or adopt any policy that discriminates against an individual or any group of individuals on any of these bases.