Associate Portfolio Manager Program - Systematic Strategies
Why This Role Stands Out
This program offers an exceptional opportunity to develop your investment acumen within a renowned global trading firm, with a proven track record of nurturing top-tier talent into leadership roles. If you possess strong quantitative and systematic investment skills and are eager to contribute to sophisticated trading strategies, you'll thrive in this environment. Apply now to potentially become one of Caxton Associates' next generation of successful Portfolio Managers.
Quick Overview
Job Description
Company Overview:
Caxton Associates, founded in 1983, is a global trading and investment firm with offices in London, New York, Singapore, Monaco, Dubai and Bengaluru. Caxton Associates’ primary business is to manage client and proprietary capital through global macro hedge fund strategies. Assets are managed via a broad mandate to trade in a variety of global markets and instruments.
Caxton Associates has a history of developing world-class investment talent. As part of our development commitment, we established the Associate Portfolio Manager (APM) Program in 2012 to foster the next generation of Portfolio Managers. The Program provides a fantastic pathway for high-potential investors, strong sell-side talent and quantitative analysts to hone their skills as investors.
This initiative has been incredibly successful as a talent pipeline for our Portfolio Manager population. Over a quarter of our current Portfolio Managers joined Caxton through this route, including many of our most senior risk takers.
Systematic Strategies
We are seeking experienced systematic portfolio managers and/or analysts. Strategies can utilize any asset class and we will consider a range of holding periods. Our focus will be on technical skills and a demonstrated understanding of quantitative and systematic investment frameworks.
If you are interested in applying for this program, please send your CV, investing track record (if available) and a detailed outline of the proposed investment strategy.
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