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Quantitative Multi-Asset Portfolio Manager

PanAgora Asset Management Inc.

PanAgora Asset Management Inc. seeks a Quantitative Investment Portfolio Manager to conduct innovative research in managing global risk parity portfolios. The role requires expertise in statistical analysis and programming in Python and SQL, plus 3 years of financial research experience. Key responsibilities include alpha factor research, backtesting models, and participation in research discussions. The ideal candidate holds a Master’s degree in Finance and possesses strong quantitative capabilities. #J-18808-Ljbffr PanAgora Asset Management Inc.

Vacancy posted 2 days ago
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