This successful multi-manager is trading across all asset classes and time horizons, with a strong interest in Stat Arb, Index Rebalance, systematic Macro and RV strategies (anything liquid, they won't do distressed).
They have a specialist team of developers and engineers who will work alongside each new PM and who will set up the whole infrastructure according to each PM's needs to ensure that strategies run in the most efficient way.
To be considered for this opportunity, a good and successful 5 years' long+ trading track record running strategies from anything intra-day to ideally more longer term holding periods is required.
Average annual P&L should be at least 10m+ with a realized Sharpe >2.
This is a great opportunity for someone looking to have a larger capital allocation with a much better % P&L payout, as our client is well known to pay one of the best % payouts in the market.