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Minimum five years of recent experience in one or more of the following areas: investment banking, private equity, hedge funds, valuation, financial statement analysis, quantitative analysis, statistical sampling and econometrics, fixed income, and/or capital markets.
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You will conduct detailed analysis of portfolio managers’ performance, risk and holdings using quantitative analytical tools such as Bloomberg, FactSet, MPI Stylus, Barra, Morningstar, and proprietary risk tools.
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U00A0 You will conduct detailed analysis of portfolio managers performance, risk and holdings using quantitative analytical tools such as Bloomberg, FactSet, MPI Stylus, Barra, Morningstar, and proprietary risk tools.
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Within ICM, the Underwriting function provides analysis, greenlight, underwriting, first-line-of-defense credit approval and subsequent credit monitoring across all ICG wholesale credit businesses including Banking, Capital Markets, and Advisory (BCMA), Global Structured Products, Financings, and Securitizations (GSP-F&S), Treasury & Trade Services (TTS), Markets, and Securities Services (MSS.
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Preferred qualifications include experience with diverse investment strategies and asset classes, including stocks, bonds, mutual funds, ETFs, derivatives, foreign currency, separately managed accounts, hedge funds, private equity, venture capital, and real estate.
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Responsibilities will include quantitative and qualitative research and analysis related to investment managers, asset classes, portfolio management, asset allocation, risk management, and investment operations.
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Analyze hedging strategy and shape for different markets (with reference hedge path being defined by risk), provide the analysis to support the hedging strategy. You will also provide decision support for investment decisions and M&A transactions through high-quality fundamental analysis, power price forecast/optimization models and analytical supports to enable.
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Our Macro Energy team helps financial clients navigate fast-moving markets, leveraging EA group's industry-leading analysis and expertise to help the world's top hedge funds, asset managers, commodity trading houses, banks and institutional investors.
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Description Position at Berkeley Research Group, LLC BRG Corporate Finance practice specializes in providing strategic, operational, and financial advice to private equity firms, management teams, boards of directors, investors, hedge funds, and other lenders in a wide range of complex situations.
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We are seeking a tax professional with alternative fund tax experience who will be responsible for a variety of tax tasks related to our private equity / venture capital funds, hedge funds, real estate entities, management companies, and broker dealer.
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Define and deliver technology solutions to advance investment management lifecycle processes, including portfolio analysis / construction, order management and trade execution, pre-trade compliance, performance / attribution analysis, portfolio risk analysis, cash management and quant research.
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One (1) year of full-time professional institutional investment experience or other relevant experience involving a high degree of skill in data analysis, financial modeling, and investment evaluation with a credit, equity or multi-asset focus or other relevant transactional experience in a corporate development, investment banking, hedge fund, private equity fund, or similar.
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Our team of experienced leveraged finance lawyers provide our subscribers (including hedge funds, insurance companies, mutual funds, and other asset managers) with market-leading analysis of the covenants drafted in the largest leveraged finance deals in the US, primarily covering high yield bonds and leveraged loans.
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You will work closely with the head of Macro Energy in presenting forward-looking assessments of energy price risks, and opportunities by integrating fundamental, macroeconomic, geopolitical and cross-asset analysis.
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Our global investment platform isprised of over 500 investment professionals across seven investment groups (Hedge Fund Group, Private Investments, Sustainability, Investment Boutiques, Investment Research, Risk & Science, and Investment Strategy) in the Americas, EMEA and APAC regions.
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