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Senior Quantitative Researcher
2 months ago
About the Role:
Statera Talent are seeking an experienced Quantitative Researcher to join a leading US global Asset Manager. As the team's first hire in London, you will be critical in enhancing their fundamental, research-driven investment process by integrating advanced quantitative techniques with traditional equity analysis. This role will suit a Director level professional.
This position is not focused on systematic or algorithmic trading, it centres on developing insights that drive long-term investment decisions.
Key Responsibilities:
- Blend Quantitative and Fundamental Research: Collaborate closely with fundamental analysts, portfolio managers, and other investment professionals to apply quantitative frameworks, including portfolio construction, risk analysis, and stock selection, to the firm’s fundamental investment strategies.
- Conduct In-Depth Quantitative Analysis: Employ advanced quantitative methods such as non-stationary statistics, time series analysis, factor models, dimension reduction techniques, and machine learning to generate and visualize data insights that support fundamental research.
- Develop and Present Investment Insights: Regularly create, refine, and communicate quantitative research findings and recommendations. Work with stakeholders globally, including non-technical teams, to translate complex quantitative data into actionable investment ideas.
- Influence Portfolio Decisions: Your analysis will directly inform stock selection and portfolio construction, providing a quantitative perspective that enhances fundamental investment decisions.
- Collaborate and Innovate: Actively engage with a global team of investment professionals, contributing to discussions and the development of best practices in quantitative research. You will have the autonomy to refine your research methods and processes.
Requirements:
- Strong Quantitative and Fundamental Background: A minimum of 15 years of experience in quantitative research with a focus on equity analysis. Comfort working with quantitative techniques and fundamental research is essential.
- Advanced Academic Qualifications: A Master’s, or PhD, in a quantitative field such as econometrics, mathematical finance, statistics, or a related discipline. A history of published research is a plus.
- Technical Proficiency: Experience in modelling and analysis using Python, R, SQL, or similar tools. Ability to effectively communicate complex quantitative insights to both technical and non-technical audiences.
- Independent and Collaborative: This is a standalone role that requires a self-starter who can work independently. Maturity, responsibility, and the capability to manage your own projects within the team’s broader goals are critical.
- Passionate About Investment Research: A deep curiosity about financial markets, strong analytical skills, and enthusiasm for discovering new ways to leverage quantitative research within a fundamental investing framework.
Why Join?
- Pioneering Role in London: You will build and expand the firm’s quantitative research presence in London, directly shaping the European equities strategy.
- Strategic Impact: Your work will significantly influence long-term investment decisions, combining innovative quantitative research with a well-established fundamental approach.
- Work with Seasoned Professionals: The average tenure for their portfolio managers is over 20 years. You'll have the unique opportunity to work alongside highly experienced individuals with a long track record of success.
- Hybrid Working and Private Office: Alongside the flexibility of a hybrid working model, this role comes with its own individual office within the London location. Providing a quiet and focused environment to conduct research and engage with stakeholders effectively.
To learn more, please apply today.