Posted on: June 24, 2022
Tudor Investment Corp. seeks an Analyst in Stamford, CT to
forecast and analyze financial and global economic environment and
impact on financial markets, and generate trade ideas with risk /
reward profile related to fixed income securities and liquid macro
asset classes, and ensure portfolio risk compliance within
parameters. Build market tracking and portfolio management tools,
including VaR metrics, recommend improvements for investment and
portfolio management, and improve infrastructure for in-house Libor
curve and Volatility Surface construction. Requirements: Bachelor's
degree in Finance, Business Administration or a related
quantitative field and 5 years of progressively responsible
experience analyzing financial market conditions, and generating
trade ideas for complex financial instruments based on forecasts.
Requires 5 years of experience managing capital using interest rate
derivatives to generate returns; data analysis and research
regarding industry variables and economic conditions; generating
mathematical models for pricing and hedging interest rate products;
building tools for risk management and trading; and using complex
tree-based models and Monte Carlo simulations.
Keywords: Tudor, Stamford , Analyst, Professions , Stamford, Connecticut
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