Develop and execute profitable trading strategies across various financial instruments including equities, fixed income, and derivatives to generate alpha.
Analyze market trends, economic indicators, and company-specific information to identify trading opportunities and manage risk effectively.
Manage a portfolio of capital adhering to strict risk management guidelines and position limits to protect firm assets.
Conduct thorough research and analysis to support trading decisions, evaluating both fundamental and technical factors.
Qualifications
Possesses a Master's degree in Finance, Economics, or a related field; a PhD is a plus.
Holds relevant certifications, such as CFA or FRM, demonstrating a commitment to professional standards.
Demonstrates 7+ years of experience in proprietary trading or a related role, with a proven track record of profitability.