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Quantitative Portfolio Strategist
2 months ago
Mavega Group is seeking a highly skilled Quantitative Portfolio Manager to join our team. As a key member of our investment team, you will be responsible for developing and implementing quantitative investment strategies to maximize portfolio performance.
Key Responsibilities:- Quantitative Analysis: Conduct in-depth financial analysis to identify investment opportunities and risks.
- Model Development: Design and implement advanced statistical models to optimize portfolio performance.
- Portfolio Management: Oversee the management of client portfolios, ensuring alignment with investment objectives and risk tolerance.
- Market Research: Stay up-to-date with market trends, economic indicators, and regulatory changes to inform investment decisions.
- Reporting and Communication: Provide regular portfolio performance reports to clients and stakeholders, and participate in investment committee meetings to discuss portfolio strategies.
- Education: Bachelor's degree in a related field, such as economics, mathematics, statistics, or finance. A master's or doctoral degree is preferred.
- Experience: At least [X] years of experience in quantitative finance, preferably as a portfolio manager or in a similar role.
- Skills: Solid knowledge of statistical modeling, programming languages (Python, R, MATLAB), and data analysis tools. CFA, FRM, or similar certifications are a plus.
- Personal Qualities: Excellent analytical, communication, and problem-solving skills, with the ability to work independently and as part of a team.