
Posted 3 days ago
Portfolio Manager
Pharo ManagementPortfolio Manager
Requirements
proven track record of risk-adjusted returns, portfolio construction expertise, risk management skills, analytical and quantitative skills, Bachelor's, Masters, or PhD in quantitative discipline
Skills
risk management
About the role
Responsibilities
- Develop and execute a clear, disciplined, and sustainable investment process that produces strong ideas
- Manage a portfolio of interest rates, credit, and foreign exchange instruments in accordance with established trading and risk parameters
- Collaborate and share market views with partners, other portfolio managers, and the research team
Requirements
- Proven track record of producing strong risk-adjusted returns with a high Sharpe ratio
- Strong understanding of portfolio construction and risk management
- Excellent analytical and quantitative skills with strong attention to detail
- Bachelor’s degree, Masters, or PhD, preferably in a quantitative discipline
- Strong written and verbal communication skills
- Strong work ethic and team spirit
About the Company
Pharo Management is a leading global macro hedge fund with a focus on Emerging Markets. Founded in 2000, the firm manages approximately $8 billion in assets across four funds, trading foreign exchange, sovereign and corporate credit, local market interest rates, commodities, and their derivatives. Our investment approach combines macroeconomic fundamental research with technical analyses.
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Pharo Management · New York
