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Global Corporate Banking - Korea into Latin America Desk - Vice President

Aumni

Aumni

Mexico City, Mexico
Posted on Monday, July 22, 2024

Job Description

This is a role within the Global Emerging Market Core team, specifically within the Emerging Market Research Enhanced Index (REI) strategies. REI strategies are low tracking error funds leveraging our proprietary fundamental stock level insights, supplemented by a robust quantitative framework to assist in stock selection and risk management.

Job Summary

As a Portfolio Manager on the Research Enhanced Equities strategy, you will conduct quantitative research to enhance stock selection tools and liaise extensively with our fundamental research team to translate research insights into portfolio construction.

Job responsibilities

  • Work closely with our team of fundamental research analysts to translate research insights into investment decisions.
  • Conduct quantitative research to enhance stock selection screens.
  • Build and enhance portfolio construction and monitoring tools.
  • Monitor and rebalance client portfolios to ensure they are conforming to investment strategy and client guidelines.
  • Liaise extensively with our key partners across Fundamental Research, Quantitative Research, and Equity Technology.
  • Contribute to fundamental stock views and stock selection ideas.

Required qualifications, capabilities, and skills

  • Proficiency in coding is a must (Python preferred).
  • Prior experience in equities investing and/or quantitative research
  • Strong attention to detail is critical.
  • Relevant quantitative research experience required
  • Strong communication (both verbal and written) and the ability to thrive in a team environment
  • Strong understanding of risk management and portfolio construction preferred

Preferred qualifications, capabilities, and skills

  • CFA preferred.