The fund is extremely successful and combines rigorous macroeconomic analysis in conjunction with in-depth local research in order to generate strong returns for investors.
This is an excellent opportunity for someone interested in using empirical skills developed over the course of a PhD in an applied setting.
Responsibilities will include:
Working in a team with PhD Economists with extensive financial markets experience.
Developing multi-asset trade recommendations for the portfolio managers.
Developing macroeconomic views and investment conclusions that can add value to multi-asset portfolios (including fixed interest, foreign exchange and equities).
In order to apply you must have:
This is a high profile position working within one of the most successful Macro funds of Recent years. You should have a strong interest in financial markets, and will be excited about the prospect of applying modern empirical techniques to understanding them.
Global applications welcome
In order to apply please send your CV in WORD FORMAT to email@example.com or call 02080044001