Alpha Alternatives is a multi-asset class asset management platform based out of India and Singapore, with significant prop capital and over 2500cr of committed AUM, and a deep focus on alpha generation. Our Investment strategies span across Commodities, Equities, Credit, Quant and FICC, and we ran various products across structures like AIF, PMS, NBCC and FPI.
Our 100 plus people team comes with vast experience across domestic and global hedge funds and financial institutions, and strong academic credentials at top universities.
We are looking for an entrepreneurial, driven and high achieving individual looking to create significant value for himself/herself in trading roles
Key responsibilities for the role are as follow:
1. Developing and deploying alpha generating trading strategies
2. Understanding and implementing risk monitoring and risk mitigating systems
3. Exploring multiple asset classes and diversifying across multiple non-correlated trading instruments
4. Back-testing and optimizing trading strategies to suit a favorable risk-reward return
Selected candidates may please apply to firstname.lastname@example.org or email@example.com