A leading institutional investment platform is seeking a Quantitative Research Associate to join its Portfolio Construction and Asset Allocation team. This role sits at the intersection of quantitative research, portfolio strategy, and multi-asset investing, with a focus on developing models and analytics that drive asset allocation decisions across public and private markets. You'll gain exposure to both high-level portfolio construction and the underlying investment mandates, helping translate quantitative insights into actionable portfolio decisions. This is an exciting opportunity for someone who enjoys combining rigorous quantitative research with real-world investment decision-making.
Responsibilities:
- Build and enhance quantitative models used for portfolio construction and investment decision-making.
- Analyze portfolio risk, performance, and market scenarios across multiple asset classes.
- Research investment opportunities and return drivers across public and private markets.
- Develop analytical tools and data sets to support investment strategy and portfolio management.
- Partner with investment teams to translate research into actionable insights.
Requirements:
- 2+ years of experience in quantitative research, portfolio analytics, asset allocation, or a related investment role.
- Knowledge of fixed income, equities, and/or alternative investments.
- Strong quantitative and statistical modeling skills.
- Proficiency in Python and SQL.
- Advanced degree or strong academic background in a quantitative field such as Mathematics, Statistics, Financial Engineering, Economics, or Physics.

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