Associate - Public Equities
- Employer
- Finance Network
- Location
- Abu Dhabi, United Arab Emirates
- Salary
- Competitive
- Closing date
- Nov 25, 2021
View more
- Job Function
- Banking
- Industry Sector
- Finance - General
- Employment Type
- Full Time
- Education
- Bachelors
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Covering public equities (multi-strategy with a global mandate) and cryptocurrencies for a newly established investment vehicle:
• Support the senior team members across the investment platform by analyzing and performing due diligence across direct listed public equities, derivatives and funds (hedge funds)
• Trade execution capabilities across full range of products traded
• Liaising with internal and external teams to discuss investment ideas
• Covers long / short strategies across the US, EU and EM markets
• Experience in utilizing sophisticated trading platforms and dealing with banks for credit lines
• Develop valuation, risk and performance analysis model for a variety of assets and portfolios
• Build views on a company's value, quality, momentum, and sustainability attributes
• Monitor news flow, business trends, and performance on existing and potential investment positions
• Participate in the investment team's decision making process surrounding portfolio positioning, broader investment decisions, and model enhancements
• Training junior peers and providing guidance
Requirements
• Previous experience (4-6 years) at a leading bank (equity research) or hedge fund
• Cover all direct listed public equities / structured products / options & warrants / fund investments / cryptocurrencies
• Exposure to various trading methods including but not limited to: executing options trades / warrants / structured products
• Experience in technical analysis and strong quantitative background with ability to compile extensive and well-written research reports
• Degree and / or MBA from a top-tier university. CFA / CAIA / CA is a plus
• Fluent in English; additional languages is a plus
• Support the senior team members across the investment platform by analyzing and performing due diligence across direct listed public equities, derivatives and funds (hedge funds)
• Trade execution capabilities across full range of products traded
• Liaising with internal and external teams to discuss investment ideas
• Covers long / short strategies across the US, EU and EM markets
• Experience in utilizing sophisticated trading platforms and dealing with banks for credit lines
• Develop valuation, risk and performance analysis model for a variety of assets and portfolios
• Build views on a company's value, quality, momentum, and sustainability attributes
• Monitor news flow, business trends, and performance on existing and potential investment positions
• Participate in the investment team's decision making process surrounding portfolio positioning, broader investment decisions, and model enhancements
• Training junior peers and providing guidance
Requirements
• Previous experience (4-6 years) at a leading bank (equity research) or hedge fund
• Cover all direct listed public equities / structured products / options & warrants / fund investments / cryptocurrencies
• Exposure to various trading methods including but not limited to: executing options trades / warrants / structured products
• Experience in technical analysis and strong quantitative background with ability to compile extensive and well-written research reports
• Degree and / or MBA from a top-tier university. CFA / CAIA / CA is a plus
• Fluent in English; additional languages is a plus
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