Full-Time

Investment Analyst

Credit and Cross Asset Relative Value Team

Confirmed live in the last 24 hours

Verition Fund Management

Verition Fund Management

51-200 employees

Multi-strategy hedge fund for institutional investors

Quantitative Finance
Financial Services

Mid

London, UK

Category
Quantitative Research
Quantitative Finance
Requirements
  • 2-5 Years of fundamental credit research exposure covering various sectors
  • Strong analytical and communication skills, with the drive to engage counterparties and the goal to perform and excel
  • Team player with the highest attention to detail quality
Responsibilities
  • Conduct credit fundamental research and analyse companies across sectors within the IG/XO space.
  • Build and nurture strong relationships with bank syndication desks, and maintain regular communication with corporate issuers.
  • Develop long/short trade ideas across the capital structure, and identify relative value opportunities across names and instruments.
  • Structure and deliver investment ideas to the portfolio manager in a clear and actionable manner.
Verition Fund Management

Verition Fund Management

View

Verition Fund Management is a hedge fund that uses various investment strategies to manage assets for institutional investors and high-net-worth individuals. The firm focuses on dynamic capital allocation to adapt to market changes and aims for absolute returns through strategies like Credit, Fixed Income Macro, and Equity Long Short. Verition distinguishes itself with a collaborative culture that fosters creative ideas and a strong risk management approach that combines internal and external analyses. The company earns revenue through management and performance fees based on the returns it generates.

Company Stage

N/A

Total Funding

$1.4B

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.

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