Quantitative Investment Analyst
Ashton Lane Group, Inc
Job Description
Job Description
Supporting portfolio optimization and analytics within the investments team.
Responsibilities:
- Develop quantitative fixed income and multisector tools and frameworks and directly contribute to asset allocation decisions.
- Present effective investment and correlated portfolio risks within an enterprise-wide risk and capital modelling framework
- Improve and enrich the quantitative fixed income analytical tools related to asset allocation and portfolio optimization
- Provide quantitative assessment of relative value investment opportunities across market sectors and major risk drivers
- Support the modelling and extension of existing risk and asset allocation frameworks
Requirements:
- Proven academic success with a degree in a numeric discipline such as finance, mathematics, economics, quantitative analytics, or statistics.
- Exposure to fixed income products, bond math, and an interest to deepen this knowledge is required
- Broad knowledge across Investment Grade, High Yield, and Alternative Investment products as well as an understanding of additional asset classes is desired. This experience may come from a combination of academic, job-related, and/or professional certifications (e.g. CFA, FRM)
- Comfortable programming one or more of the following data reporting and display languages and tools is required: Python, SQL, Matlab/R, VBA, PowerBI, Tableau
For immediate consideration, please forward resume and contact details to: View email address on ziprecruiter.com
Ashton Lane Group is a boutique executive recruitment firm serving the Banking, Insurance, and Alternative Investment sectors. For the latest opportunities, visit
Ashton Lane Group® “A trusted advisor throughout your career”
Vacancy posted 16 days ago
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