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Maven Securities

Portfolio Manager (Europe)

Reposted 22 Days Ago
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In-Office
London, Greater London, England, GBR
Mid level
In-Office
London, Greater London, England, GBR
Mid level
Lead research, development and implementation of trading strategies targeting a specific market inefficiency. Maintain and demonstrate a strong track record and realised Sharpe, apply market dynamics to strategy performance, and code and research to iterate strategies from idea to live implementation.
The summary above was generated by AI

We are seeking a portfolio manager with a deep understanding of a particular inefficiency they attempt to capture. They will have been heavily involved in the research of the strategy as well as its implementation, and are able to develop new strategies from idea to implementation.
In addition, the PM will have a solid understanding of the dynamics of markets, and use these dynamics to display a qualitative appreciation of when their strategy performs well and poorly.

Offices in both London and Monaco.
Requirements:

  • 3+ years experience as a PM, or 4-5 years as an assistant PM;
  • Realised Sharpe >2.5;
  • Display track record of strategy;
  • Deep understanding of strategy;
  • Strong coding skills;
  • Strong researching skills;
  • Masters or PHD in scientific subject.

#LI-Onsite

HQ

Maven Securities London, England Office

6 Bevis Marks, London, United Kingdom, EC3A 7

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