Full-Time

Portfolio Management Associate

Confirmed live in the last 24 hours

Arrowstreet Capital

Arrowstreet Capital

201-500 employees

Investment management for global equity strategies

Quantitative Finance
Financial Services

Entry, Junior

Boston, MA, USA

Category
Asset Management
Financial Planning and Analysis (FP&A)
Finance & Banking
Required Skills
Python
R
SQL
MATLAB
Data Analysis
Requirements
  • Bachelor’s degree in quantitative finance, or a related analytical discipline (such as financial engineering, mathematical finance, or quantitative economics)
  • Graduate work towards a quantitative finance degree is encouraged
  • Experience through former roles, internships or coursework to (a) portfolio management, to include portfolio theory, risk factor exposure analysis, or quantitative investment; or (b) in quantitative research
  • Meaningful knowledge related to financial and equity markets
  • Experience through former roles, internships or coursework to: (i) running database queries and managing datasets; (ii) writing queries in Structured Query Language (SQL) for data analysis; (iii) using a Bloomberg Terminal; and (iv) using any one of the following for data analysis: (1) Python; or (2) R; or (3) MATLAB
Responsibilities
  • Contribute to ongoing processes related to portfolio finance and shorting
  • Work with internal teams on numerous initiatives to incorporate portfolio finance economics into the investment process and enhance related processes
  • Assist in the forecast and trade review processes
  • Explore modifications to financing structure with counterparties to improve portfolios
  • Apply econometric skills to complex analytical projects designed to inform decisions related to process modifications and enhancements
  • Monitor portfolio positions and risk factor exposures and provide feedback to senior members of Portfolio Management and Research
  • Provide market color related to significant market events that may affect portfolio positioning and may lead to data or process overrides
  • Contribute to the team’s morning meeting
Desired Qualifications
  • Graduate work towards a quantitative finance degree is encouraged

Arrowstreet Capital specializes in managing global and international equity investments for institutional clients, including pension plans and foundations. Their investment strategies include long-only, alpha extension, and long/short approaches, utilizing various financial instruments like swaps and futures. The company employs quantitative methods to analyze investment signals and develop proprietary models for return, risk, and transaction costs. By focusing on a structured investment process, Arrowstreet aims to create diversified equity portfolios that seek to outperform specific benchmarks. They evaluate opportunities across different companies, sectors, and countries using a range of predictive factors. With around $100 billion in assets under management, Arrowstreet Capital serves over 200 clients across North America, Europe, and the Asia-Pacific region.

Company Stage

Private

Total Funding

N/A

Headquarters

Boston, Massachusetts

Founded

1999

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Simplify's Take

What believers are saying

  • Advancements in AI enhance quantitative model capabilities for market trend prediction.
  • Increased interest in ESG investing can be leveraged by integrating ESG metrics.
  • Thematic investing trends offer opportunities for specialized equity strategies.

What critics are saying

  • Indictment of former executive for trade secrets theft may impact client trust.
  • Market volatility and geopolitical tensions could affect portfolio performance.
  • Rise of passive investment strategies may increase competition and pressure on fees.

What makes Arrowstreet Capital unique

  • Utilizes quantitative methods for investment signals in proprietary models.
  • Manages $100 billion for over 200 global clients.
  • Offers diverse equity strategies including long-only, alpha extension, and long/short.

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