Candidates should have 0-2 years experience in the financial industry currently as a macro analyst out of a top tier school.
The strategy generally aims to take advantage of mis-pricings within and across a range of asset classes, including currencies, equities, credit, commodities, and interest rates.
This role will provide the opportunity to research macro topics that range from modeling specific companies that express macro views or that are affected by macro market forces, to macroeconomic analysis of countries.
The ideal candidate will have a quantitative bent and a familiarity with financial concepts, basic statistics, and asset pricing.
The ideal candidate will also be flexible, able to do both quick and deep analyses, and will be able to present comprehensive and relevant investment analysis as well as generate investment ideas and opinions along the way.
Familiarity with Excel and Bloomberg is preferred but not required.
This role affords the opportunity to gain expertise in macro investing, to contribute as part of an established team, and to be directly exposed to investment decisions by collaborating with seasoned, senior members of the firm.
Candidates MUST HAVE green card, US CITIZENSHIP, or valid current h1b with AT LEAST 3 YEARS LEFT.
Call or text 203-29-QUANT 203.297.8268 if you have any questions and are qualified for this role or others posted.
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Candidates MEETING MOST OF the SPEC below will be contacted PROMPTLY.