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The Equity Derivative Portfolio Manager will work closely with teams across Investment Management, Barings and Enterprise Risk. The team oversees all derivative-related aspects of MassMutual’s portfolio management process, managing exposure to interest-rates, foreign exchange rates, credit spreads, volatility and equity.
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The role will closely work with investment operations, legal, tax and other support functions to ensure a seamless collaborative management of the external public equity portfolio, with full individual accountability and responsibility of the portfolios performance and optimal construction.
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The Equity Derivative Portfolio Manager will work closely with teams across Investment Management, Barings and Enterprise Risk. The TeamThe Quantitative Portfolio Management (QPM) team has primary focus in asset-liability management (ALM), product pricing, and the formulation and execution of quantitative strategies that enhance policyholder surplus and mitigate unwanted risks in the portfolio.
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The Portfolio Analyst is a member of the Natixis Investment Solutions Portfolio Management Team within the Portfolio Analysis & Consulting Group. The core responsibilities of this role are to assist the portfolio management team in the investment management functions associated with the multi-asset class model programs, investments, and assets managed by Natixis Investment Management Solutions.
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About the Role We are currently seeking to recruit an experienced equity research analyst to join our established Growth Opportunities (GrowthOpps) Portfolio Management team. They will employ intensive, bottom-up fundamental research to drive the investment process which will help form differentiated views and allow the analyst tomunicate their findings to the portfolio manager.
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We are seeking to recruit an Equity Research Analyst to join one of our established Equity Portfolio Management teams, within our Sustainability Group. Our innovative investment solutions are built on the strength of proprietary, independent research and span nearly all segments of the global capital markets, including equity, fixed income, multi-asset, and alternative strategies.
$225,000 a yearFull-timeExpandApply NowActive JobUpdated 9 days ago - UpvoteDownvoteShare Job
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The ideal candidate will have a track record in supporting ESG, impact & sustainability advisory, decarbonization, human rights or broader post-investment value creation engagements for private markets investors , and/or project delivery for private equity or infrastructure investment and operating teams , and portfolio company management.
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Experience: Prefer 5-10+ years of endowment/foundation investment office experience, in areas of private equity, liquidity and risk modeling. Strategies in the portfolio include private equity, venture capital, long-only equities, long/short equities, and real assets investments.
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Bachelor’s degree with at least 3 - 5 years of relevant experience in: fund finance, structured finance, investment banking, private equity, private credit, hedge funds, or management consulting.
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2-4 years of experience in investment management, strategic finance (private equity, investment banking, corporate development), or consulting. The team is seeking a highly analytical and proactive Investment Associate to support portfolio oversight, the firm s reporting processes, and the assessments of new investment opportunities.
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Private Equity Portfolio Analyst will report to the Group Leader of Fundamental Model Management and work closely with Fidelity's private equity fund investment team as well as other business partners to support the operations and financial reporting of Fidelity's Private Equity Multi-Strategy Funds.
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Managed Accounts or Investment Management business domain expertise across some combination of research, portfolio management, and trading and investment operations.
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The incumbent will be responsible for underwriting and reviewing CRA qualifying equity investments and loans within the following asset classes: i) multifamily developments financed with Low Income Housing Tax Credits (LIHTC), ii) community development financial institutions (CDFIs), iii) real estate private equity funds, iv) Small Business Investment Corporations (SBIC), iv) New Markets Tax Credits (NMTC), and v) other qualifying assets for Santander Bank, N.A.'s CRA Program.
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From core custody, accounting, fund administration and shareholder recordkeeping, to complete operations solutions and servicing for alternative assets like OTC derivatives, private equity and real estate, SSGD tools help our clients make better investment choices and act on growth opportunities.
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In Asset Management, Alantra offers its clients unique access to a wide range of investment strategies (direct investments, fund of funds, co-investments and secondaries) in six highly specialized asset management classes (private equity, active funds, private debt, infrastructure, real estate and venture capital) as well as private wealth management services.
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investment portfolio management equity jobs in Boston, MA
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