Full-Time

Quantitative Analyst

Posted on 11/21/2024

American Century Investments

American Century Investments

Compensation Overview

$135k - $165kAnnually

+ Cash Incentive

Mid

Santa Clara, CA, USA + 2 more

More locations: Kansas City, MO, USA | New York, NY, USA

Hybrid position requiring in-office presence.

Category
Quantitative Analysis
Quantitative Research
Quantitative Finance
Required Skills
Python
R
MATLAB
Data Analysis
Requirements
  • Bachelor’s degree in finance, Economics, Applied Mathematics, Physics, Statistics or other quantitative disciplines. Advanced degrees such as Masters or Ph.D and CFA certification preferred.
  • 2-5 years of equity investment analyst or quantitative analyst experience in the investment management business is required.
  • Advanced understanding of statistical techniques and time series/cross-sectional analysis using Python, R or MatLab is required.
  • Advanced Super User of FactSet as a primary data source and other data toolkits is required.
  • Experience required with Barra, Axioma, or Northgate.
  • High-level understanding of fundamental 'bottom-up' company analysis of companies in various sectors.
  • Depth of investment insight to effectively communicate externally as an extension of the portfolio management team.
  • Marketplace credibility to represent investment strategies as well as the organize effective client and consultant engagements.
  • Strong client communication skills in delivering asset solutions to institutional clients.
  • Prior experience performing deep quantitative analysis strongly preferred. Experience performing detailed fundamental analysis of equities is a plus.
Responsibilities
  • Partner with portfolio managers and analysts on researching new strategies, back-testing investment ideas and enhancing investment process to deliver alpha.
  • Assist in the development and generation of investment ideas by both utilizing fundamental analysis and creating incremental quantitative reports that identify potentially attractive stocks.
  • Build and maintain empirical models for stock selection and portfolio construction in collaboration with investment team.
  • Perform risk & return analysis to understand drivers of results and identify opportunities to improve risk-adjusted returns across Midcap Growth strategies.
  • Design analytical tools for managing unintended portfolio risk exposures, evaluate liquidity risks and perform scenario analysis.
  • Fundamental analysis of individual companies including reading company documents, synthesizing research, and communicating investment ideas.
  • Build multi-year financial models to determine appropriate valuations under various scenarios.
  • Provide risk management input to portfolio construction and implementation.
  • Meeting with management teams or investor relations professionals to increase knowledge of companies under coverage.
  • Communicate findings of research to Portfolio Managers.
American Century Investments

American Century Investments

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