Internship

Risk Analyst

Posted on 9/11/2024

AQR Capital Management

AQR Capital Management

501-1,000 employees

Global investment management firm offering diversified strategies

Quantitative Finance
Financial Services

Greenwich, CT, USA

Category
Risk Management
Finance & Banking
Required Skills
Python
MATLAB
C/C++
Requirements
  • December 2025 or Spring 2026 graduate in a financial and/or quantitative field
  • Strong interest in markets and risk management
  • Familiarity with financial instruments and risk metrics (including, but not limited to: risk exposures, duration, beta, volatility, option Greeks)
  • Prior experience using a high-level programming language (e.g. Python, Matlab, C++) as a research tool
Responsibilities
  • Gain exposure to the many types of market and liquidity risks when managing investment strategies and partner with a seasoned risk manager on a series of varied analytics.
  • Incorporate the outcomes of successful research to develop methodologies for risk management, and improve existing ones
  • Provide quantitative support to risk managers, including monitoring of investment risk and market risk measures, across portfolios and asset classes
  • Support daily risk processes, including active risk management as well as limits monitoring and related escalation procedures
  • Participate in new projects, client development initiatives, and ad-hoc activities
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 works primarily with institutional investors such as pension funds, insurance companies, and sovereign wealth funds, as well as financial advisors and their clients. Their investment approach combines both qualitative and quantitative methods to create, refine, and test investment models. AQR differentiates itself from competitors by systematically applying well-designed investment solutions that enhance portfolio construction, risk management, and trading. The company's goal is to deliver value through effective asset management while generating revenue from management and performance fees on the assets they oversee.

Company Stage

N/A

Total Funding

N/A

Headquarters

Greenwich, Connecticut

Founded

1998

Simplify Jobs

Simplify's Take

What believers are saying

  • AQR can leverage ESG investing trends by integrating sustainability metrics into models.
  • AI-driven platforms offer AQR opportunities to enhance strategies with machine learning.
  • Factor-based investing popularity aligns with AQR's systematic, research-driven approach.

What critics are saying

  • Competition from AI-driven firms could challenge AQR's market position.
  • Volatility in cryptocurrency markets may impact AQR's portfolio performance.
  • Regulatory scrutiny on quantitative trading could affect AQR's operational flexibility.

What makes AQR Capital Management unique

  • AQR combines financial theory with practical application for superior long-term results.
  • The firm uses quantitative tools to process fundamental information and manage risk.
  • AQR serves institutional investors, including pension funds and sovereign wealth funds.

Help us improve and share your feedback! Did you find this helpful?

INACTIVE