Global Equity Volatility Analyst
Permanent
Portfolio Management, Research, Trading
London, New York, Hong Kong, Singapore, Dubai
Our client is a leading multi-strategy hedge fund seeking a Global Equity Volatility Analyst to join its growing team. This is an opportunity to work closely with experienced portfolio managers, generating trade ideas and conducting in-depth analysis across global equity volatility markets.
Responsibilities
- Analyse and monitor global equity volatility markets and derivatives.
- Support portfolio managers with trade idea generation, market research, and risk analysis.
- Develop and maintain quantitative models to identify opportunities across volatility strategies.
- Conduct event-driven and relative value analysis across global equities and indices.
- Collaborate with traders and researchers to enhance investment decision-making.
Requirements
- Strong understanding of equity derivatives and volatility products.
- Experience in quantitative research, trading, or investment analysis.
- Excellent analytical and problem-solving skills.
- Proficiency in Python and data analysis tools.
- Degree in a quantitative, financial, or related discipline.
This is an excellent opportunity for a highly analytical professional to join a top-performing investment platform and gain exposure to global equity volatility strategies.
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