Full-Time

Business Development Analyst

Confirmed live in the last 24 hours

AQR Capital Management

AQR Capital Management

501-1,000 employees

Global investment management firm offering diversified strategies

Quantitative Finance
Financial Services

Compensation Overview

$110k - $120kAnnually

+ Annual Discretionary Bonus

Junior, Mid

Greenwich, CT, USA

Category
Business Development
Business & Strategy
Required Skills
Marketing
PowerPoint/Keynote/Slides
Requirements
  • A Bachelor’s degree; concentrations in Economics, Marketing, Finance or Business
  • At least two years of relevant post-undergraduate experience at an investment management or asset management firm, a consulting firm or investment bank
  • High degree of intellectual curiosity
  • High proficiency in PowerPoint and Excel
  • FINRA series 7 and 63 licenses required
Responsibilities
  • Provide senior relationship managers with sales and administrative support, including scheduling of meetings, preparing analytics, presentations, client and prospect materials, and updating of databases (CRM).
  • Provide inbound and outbound client support, including helping to service clients, quantify prospects, and sending follow-up information.
  • Proactively use databases and sales reports to assist senior relationship managers in managing their territories.
  • Work closely with Portfolio Management, Portfolio Solutions, Compliance, Legal, Operations, Risk, and Trading teams to address client requests.
  • Develop robust AQR product and asset class knowledge and demonstrate interest in the industry.
  • Participate in projects and initiatives to help improve overall team functionality and efficiency.
AQR Capital Management

AQR Capital Management

View

AQR Capital Management provides investment management services with a focus on technology, data, and behavioral finance. The firm offers a variety of investment strategies that are based on a consistent set of principles, aiming to achieve long-term and repeatable results. AQR's products work by utilizing both qualitative and quantitative tools to create, refine, and test investment models, which are then systematically applied in portfolio construction, risk management, and trading. What sets AQR apart from its competitors is its integration of advanced technology and data analysis in the investment process, allowing for a more thorough approach to managing assets. The company's goal is to deliver value to institutional investors, such as pension funds and insurance companies, by providing well-designed investment solutions that enhance portfolio performance.

Company Stage

N/A

Total Funding

N/A

Headquarters

Greenwich, Connecticut

Founded

1998

Simplify Jobs

Simplify's Take

What believers are saying

  • AQR's ability to raise $350 million for its Adaptive Equity Market Neutral UCITS Fund demonstrates strong investor confidence and potential for growth.
  • The firm's innovative approach to ESG investing, as evidenced by the $350 million raised for long-short ESG bets, positions it well in the growing sustainable investment market.
  • AQR's diversified strategies and robust risk management practices can provide employees with a stable and intellectually stimulating work environment.

What critics are saying

  • The significant loss of $43 billion in assets during the COVID-19 pandemic highlights potential vulnerabilities in AQR's investment strategies.
  • The competitive asset management market requires continuous innovation and adaptation, posing a challenge for AQR to maintain its edge.

What makes AQR Capital Management unique

  • AQR Capital Management leverages a unique blend of technology, data, and behavioral finance to create diversified investment strategies, setting it apart from traditional asset managers.
  • The firm's focus on both qualitative and quantitative tools allows for meticulous design, refinement, and testing of investment models, providing a competitive edge in portfolio construction and risk management.
  • AQR's systematic and thoughtful approach to investment solutions aims to deliver long-term, repeatable results, appealing to institutional investors seeking stability and reliability.

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