Market Neutral Portfolio Manager

وصف الوظيفة

Our client is a global top tier multi strategy Hedge Fund. They are seeking an experienced Portfolio Manager to join their team based in Dubai.

Responsibilities

  • Develop and execute market-neutral investment strategies within the equity space to achieve consistent risk-adjusted returns.
  • Oversee the daily operations of market-neutral portfolios, ensuring adherence to the fund's investment guidelines and risk parameters.
  • Perform comprehensive research and analysis of potential long and short equity positions to identify opportunities for generating alpha.
  • Utilize advanced risk management techniques to monitor and mitigate portfolio risks.
  • Establish and maintain risk models to assess and manage factor exposures, beta, and other relevant risk metrics.
  • Collaborate closely with the risk management team to ensure compliance with risk limits and guidelines.
  • Keep abreast of market trends, economic indicators, and industry developments to inform investment decisions.
  • Conduct in-depth fundamental analysis of companies and industries to identify investment opportunities and risks.

متطلبات الوظيفة

  • Minimum of 10+ years of demonstrated experience as a Portfolio Manager within a hedge fund or asset management firm, specifically in market-neutral or long/short strategies.
  • Solid knowledge of financial markets, securities, and trading strategies.
  • Strong understanding of quantitative methods and statistical analysis.
  • An advanced degree in finance, economics, or a related field is preferred.
  • Relevant industry certifications such as CFA or FRM are a plus.