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Full-Time

Quant Analyst

Agency MBS

Confirmed live in the last 24 hours

Verition Fund Management

Verition Fund Management

501-1,000 employees

Multi-strategy hedge fund for investments

Quantitative Finance
Financial Services

Compensation Overview

$120k - $150kAnnually

Mid

New York, NY, USA

Category
Quantitative Analysis
Algorithm Development
Quantitative Research
Quantitative Finance
Required Skills
Python
R
MATLAB
Requirements
  • Degree in a quantitative field such as Mathematics, Statistics, Physics, Computer Science, or Financial Engineering.
  • Solid experience in quantitative analysis with a proven track record in alpha generation.
  • Strong skills in Python, R, MATLAB, or similar tools for complex data analysis and model development.
  • Exceptional skills in statistical analysis and modeling, with a focus on predictive analytics and pattern recognition.
  • Ability to think creatively to identify new opportunities for alpha generation.
  • Excellent verbal and written communication skills for effective collaboration and presentation of findings.
  • Experience with machine learning, AI, and big data analytics in finance is a plus
Responsibilities
  • Work closely with portfolio managers and traders, providing them with actionable insights and recommendations for alpha-generating strategies, specifically within the Agency mortgage-backed securities and interest rates markets.
  • Develop and implement models and strategies focused on alpha generation across various asset classes. Use statistical and machine learning techniques to identify market inefficiencies.
  • Perform complex data analysis to uncover patterns and predictive signals in market data. Create robust financial models for forecasting and risk assessment.
  • Conduct research to understand market dynamics and investor behavior. Apply quantitative methods to develop strategies that capitalize on market anomalies and trends.
  • Design algorithms for efficient trade execution and portfolio optimization, ensuring they align with alpha-generation goals.
  • Continuously monitor and analyze the performance of deployed strategies. Refine and adjust approaches based on market feedback and performance data.
  • Effectively communicate complex quantitative strategies and findings to stakeholders, including non-technical audiences, to inform decision-making processes.
Verition Fund Management

Verition Fund Management

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Verition Fund Management is a hedge fund that employs multiple investment strategies to manage assets for institutional investors, such as pension funds and high-net-worth individuals. The firm focuses on various strategies including Credit, Fixed Income Macro, Convertible Volatility Arbitrage, Event Driven, Equity Long Short Capital Markets, and Quantitative Strategies. Their approach involves dynamic capital allocation, allowing them to adapt to changing market conditions and aim for absolute returns. Verition differentiates itself from competitors through its collaborative work environment and a strong emphasis on risk management, utilizing both internal and external analyses to maintain disciplined investment practices. The company's goal is to generate positive returns for its clients while fostering a culture of creativity and cooperation among its team.

Company Stage

N/A

Total Funding

$1.3B

Headquarters

Greenwich, Connecticut

Founded

2008

Simplify Jobs

Simplify's Take

What believers are saying

  • Exposure to a wide range of industries and companies can provide employees with diverse investment experience and knowledge.
  • The firm's active investment strategy and frequent acquisitions suggest a dynamic work environment with opportunities for rapid career growth.

What critics are saying

  • The broad investment strategy may expose the firm to higher market volatility and sector-specific downturns.
  • Frequent acquisitions and stakes in various companies could lead to overextension and potential challenges in portfolio management.

What makes Verition Fund Management unique

  • Verition Fund Management's strategy of diversifying investments across various sectors and companies, including technology, mining, and consumer goods, sets it apart from more specialized funds.
  • Their ability to identify and invest in companies at different stages of growth, from newly public companies to established firms, showcases a versatile investment approach.

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