
Pharo Management · London
Assistant Portfolio Manager Who we are: Pharo Management is a leading global macro hedge fund with a focus on emerging markets. Founded in 2000, the firm has ...
Assistant Portfolio Manager
Pharo Management is a leading global macro hedge fund with a focus on emerging markets. Founded in 2000, the firm has offices in
London, New York, Hong Kong and Abu Dhabi, and currently manages $8 billion in assets across four funds. Pharo trades foreign
exchange, sovereign and corporate credit, local market interest rates, commodities, and their derivatives. We trade in over 70
countries across Asia, Central and Eastern Europe, the Middle East and Africa, Latin America as well as developed markets. Our
investment approach combines macroeconomic fundamental research and quantitative analysis.
Pharo employs a diverse, dynamic team of 140 professionals representing over 20 nationalities and 30 languages. We have a strong
corporate culture anchored in core values such as collaborative spirit, creativity, and respect. We are passionate about what we
do and are committed to attracting the best and brightest talent.
This is a great opportunity to join a market leader and contribute to our continued success.
We are seeking an Assistant Portfolio Manager to support and report directly to a Portfolio Manager. The successful candidate will
play a key role in the day-to-day management of the portfolio and in supporting active trading strategies.
for CEEMEA and Asia
We are seeking a portfolio manager with a deep understanding of a particular inefficiency they attempt to capture. They will have been heavily involved in the research of the strategy as well as its implementation, and are able to develop new strategies from idea to implementation. In addition, the PM will have a solid understanding of the dynamics of markets, and use these dynamics to display a qualitative appreciation of when their strategy performs well and poorly. Requirements: * 3+ years experience as a PM, or 4-5 years as an assistant PM; * Realised Sharpe >2.5; * Display track record of strategy; * Deep understanding of strategy; * Strong coding skills; * Strong researching skills; * Masters or PHD in scientific subject.
The HK investment team is looking for an APAC Equities focused Portfolio Manager. We are seeking a portfolio manager with a deep understanding of a particular inefficiency they attempt to capture. They will have been heavily involved in the research of the strategy as well as its implementation, and are able to develop new strategies from idea to implementation. In addition, the PM will have a solid understanding of the dynamics of markets, and use these dynamics to display a qualitative appreciation of when their strategy performs well and poorly. Requirements: * 2+ years experience as a PM, or 4-5 years as an assistant PM; * Clearly defined scalable strategy and investment process. * Previous 3 years of positive returns. * Clearly defined universe that is Asian Equity market focused. * The strategy must be based on a beta neutral framework that generates alpha returns in the Asian Equity Markets * Must be able to deploy the strategy in a hedge fund environment. * Personal qualities: high attention to detail, perform well in a high pressure environment, work with a team and is able to achieve the goals set for them
Maven is a proprietary trading organisation formed in 2011, that has offices in London, Amsterdam, Hong Kong, New York and Sydney Maven’s proprietary trading group, Maven Investment Partners, employs a multi-strategy investment approach by deploying capital to a wide range of investment and trading strategies, managed by a global team of over thirty specialist portfolio managers and analysts Maven differentiates itself from other market participants in several ways; we are exclusively managing our own capital, as the firm is entirely employee owned; we have delivered an exceptional return on equity since inception; we maintain an entrepreneurial culture and can be flexible to the requirements of different styles of investing and trading; we value non-traditional strategies as well those more commonly seen in the market; and we encourage our investment team to work in a highly collegiate way by sharing information, finding synergies and ultimately maximising opportunities We have a central infrastructure platform that enables our investment team to trade independently yet operate within a centrally driven risk-management and operational framework, and we have invested heavily in proprietary technology across all business areas Our mission is to maintain our position as a market-leading investment house comprising of the best portfolio managers and traders in the market Role specification: Maven is looking for an outstanding Portfolio Manager to join its UK based investment team The mandate of the candidate will be to construct a long-short portfolio of European SMID cap equities The candidate will be an expert in selecting companies that trade at a significant discount to fundamental value and/or identifies opportunities which have a clear catalyst to unlock superior shareholder value The candidate will demonstrate excellent risk management both in terms of how the portfolio is constructed and how these are insulted from broader market moves We are seeking candidates who demonstrate original idea generation that incorporates a deep fundamental understanding of the companies they cover, an awareness of industry and market dynamics that may impact valuation, a process for actively engaging with management teams, and an ability to form their own views in the presence of information that is being presented by corporates, sell-side analysts and other market sources The candidate will be responsible for all investment decisions, the construction of the full portfolio and the overall risk management of every line within the trading book Candidate Specifications * 5+ years as a Portfolio Manager, or 10+ years as an Investment Analyst / Assistant PM * Proven track record that can be shared and verified * A clearly defined, robust and repeatable investment process * Strong research acumen * Ability to construct a market-neutral portfolio and effectively manage volatility * A high-level of attention-to-detail * Perform well in high pressure situations * Be able and willing to integrate into the broader team of Portfolio Managers