Why This Role Stands Out
This Associate Portfolio Manager role offers a fantastic opportunity to develop your skills within a renowned global investment firm managing significant assets, where you'll contribute to impactful investment strategies. If you are a driven individual with a passion for equity markets and a collaborative spirit, you'll thrive in this environment designed for continuous growth and excellence. Apply today to join a team committed to client success and intellectual curiosity.
Quick Overview
Job Description
MIO Partners Inc. (MIO) is a global, world-class investment and advisory institution with a decades-long track record of performance for our clients through multiple market cycles. Our team of approximately 250 people provides asset management and advisory services to current and former McKinsey employees. We manage more than $20 billion in assets across public and private markets. We are headquartered in New York City, with offices in Atlanta, Georgia; West Palm Beach, Florida; Germany; Hong Kong; Singapore; Spain; and the UK.
We provide objective advice on long-term wealth building and create distinctive investment products that deliver value relative to market-based benchmarks. We operate two core lines of business: (i) our advisory team provides advice, wealth planning, and retirement services to approximately 2500 individual clients, and (ii) our investments business consists of alpha-seeking alternative investment strategies across public and private markets.
A defining characteristic of our business is our perfect alignment with our clients. Our extraordinary mandate as a boutique investment and advisory firm, grounded in a core set of principles, enables us to create unique products and services while keeping our clients’ interests front and center.
Much of our success can be attributed to our insatiable intellectual curiosity. We seek to hire individuals who are passionate about our mission and values, and who always strive toward excellence. We care about fostering a culture of continual improvement, as individuals and as an organization, and are excited to work with individuals who have a similar growth mindset. We are proud to have a culture that promotes the highest ethical standards and investor-focused values, alongside a commitment to diversity and inclusivity and a highly collaborative work environment.
MIO (and related entities) is an independent, indirect, and wholly owned subsidiary of McKinsey & Company.
Team
MIO takes a team-based approach to everything we do. Over decades, we have created distinctive investment frameworks, systems, and processes. We seek a colleague who can use those institutional capabilities to create value for our investors and assist us in continuously improving our capabilities.
A majority of MIO’s active assets under management are invested with external third-party managers (i.e., hedge funds and other alternative investment managers). These third-party investments span a wide range of strategy areas, including equities, global macro, quantitative, multi-strategy, credit, commodities, and fixed income.
A minority of MIO’s active assets are deployed through MIO’s own in-house macro trading strategies, which are supported by MIO’s deep macroeconomic and cross-asset class market research. Our asset class coverage spans global rates and government bonds, commodities, foreign exchange, and global equity and corporate credit indices.
In both activities, the portfolio management team is leveraged by MIO’s robust proprietary analytics platforms, in-house data, and experienced support team.
Position
In an apprenticeship with a Portfolio Manager (PM) and the public markets CIO, the Associate Portfolio Manager will be principally responsible for assessing and managing long/short equity-oriented third-party hedge fund investments.
Primary responsibilities
- Support the CIO and a PM in managing a book of external hedge fund investments in the in the long-short equity space, adding alpha to MIO’s portfolios net of all assessed risks and capital charges. Key activities include:
- Performing in-depth research to source new manager opportunities
- Preparing analyses and shortlists of potential managers and providing evidence-based hiring (or firing) recommendations
- Active, comprehensive monitoring of managers, including regular discussions to understand their market insights, alignment with investors, and business objectives
- Keeping a detailed record of corresponding documentation for existing and prospective managers
- Help manage the relationship with new and existing managers and negotiating fund investment terms
- Operating within MIO’s proprietary investment frameworks and processes. Learning these frameworks will be an important early element of success in the role
- Further building out MIO’s manager assessment frameworks, improving the team’s forecasts of each manager’s alpha generation potential, grounding those forecasts in concrete evaluations of each manager’s investment capabilities
- Drive MIO’s efforts to maintain and build out new conceptual frameworks for assessing third-party equity long/short strategies, including:
- Project managing the development of key frameworks and associated analytics to ensure accurate and timely completion, balancing competing priorities across multiple stakeholders
- Conducting quantitative research, including data collection, review, and cleansing; and backtesting and statistical studies
- Owning the execution and implementation of the frameworks developed, working with MIO’s systems and data to institutionalize these frameworks into tangible reports and tool
- Overseeing these reports and tools in the production environment on an ongoing basis, ensuring the accuracy of outputs, and raising insights that are used to help inform investment decisions—and further improve the frameworks
Beyond the primary responsibilities listed above, all successful members of the Investments team are often called upon to support the broader team by leading selected initiatives outside of their designated strategy areas.
Desired background
- 5-8 years of experience in investment management
- Desire to work in a values-oriented environment focused on maximizing returns for our investors
- A record of outstanding academic achievement and evidence of broad intellectual interests
- Highly proficient in Excel; other tools may include Bloomberg, Python, and PowerPoint
- Distinctive problem-solving and analytical skills
- Superior written and verbal communication skills; able to interact on an equal footing with some of the world’s top hedge fund managers
- Willingness to become a specialist focused on mastering the nuances of a single investment strategy and interest in owning responsibility for investment decisions
- Decisiveness based on thorough research and the ability to speak with conviction about an investment (or divestment) idea
- Strong work ethic and drive necessary to out-think the competition
Certain US states require MIO Partners, Inc. to include a reasonable estimate of the salary range for this role. Actual salaries may vary and may be above or below the range based on various factors, including, but not limited to an individual’s assigned office location, experience, and expertise. Certain roles are also eligible for bonuses, subject to MIO’s discretion and based on factors such as individual and/or organizational performance. Additionally, MIO offers a comprehensive benefits package, including medical, dental and vision coverage, telemedicine services, life, accident and disability insurance, parental leave and family planning benefits, caregiving resources, a generous retirement program, financial guidance, and paid time off.
MIO Partners, Inc. (MIO) is an equal opportunity employer. MIO will consider all applicants regardless of race, color, religion, sex, sexual orientation, gender identity, national origin, veteran status, or disability status.
We are committed to protecting your privacy. Please review our Applicant Privacy Policy for a detailed explanation of how we collect, use, and protect your personal information.
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