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A leading investment management firm in Vancouver seeks a Portfolio Research Analyst to enhance portfolio optimization strategies. The role involves quantitative research, collaboration with teams, and contribution to investment decisions. Ideal candidates possess strong analytical skills and a relevant academic background.
Location: Vancouver, British Columbia
Job Id:1994
# of Openings:0
We are looking for a Portfolio Research Analyst to join our fast-paced and entrepreneurial Quantitative Equity Team! We combine quantitative research with leading-edge technology to develop our unique algorithmic investment strategies. A culture of innovation, growth and success through collaboration and mutual respect has enabled us to deliver top tier performance for over two decades. Today, our clients entrust us with over $42 billion in assets across a range of investment mandates.
This is a role within the Portfolio Construction group responsible for the construction of optimal portfolios and desired trades for those portfolios.
You will be contributing to the ongoing advancement of our in-house equity portfolio optimization framework that directly drives our daily investment decisions for delivering exceptional portfolio performance over the long term. You will possess an understanding of the key drivers of equity portfolio construction, including equity forecasts, risk management, and transaction cost management.
We are based in beautiful Vancouver, Canada; our team embraces the lifestyle and activities that life in Vancouver awards.
What You Will Do
This is an exciting role for an individual who is passionate about quantitative research and wants to apply a disciplined and scientific approach to portfolio construction. You will work with key decision makers on the team and have a broad range of responsibilities, including:
What You Bring
Connor, Clark & Lunn Investment Management is a global institutional asset management firm established in 1982 and based in Vancouver, Canada. Our strong, stable team of investment professionals manages a broad range of investment solutions that includes traditional mandates such as developed and emerging market equities and fixed income, as well as alternative strategies such as portable alpha, market neutral and absolute return.
Connor, Clark & Lunn Investment Management Ltd. is part of the Connor, Clark & Lunn Financial Group Ltd. (CC&L Financial Group), a multi-boutique investment management company whose affiliates collectively manage over $139 billion in financial assets. Our affiliation with the CC&L Financial Group allows us to best deliver on the mission to provide superior performance and service to our clients.
CC&L is owned by the current leaders of the organization. The team prioritizes succession planning and actively transitions equity ownership from generation to generation.
Connor, Clark & Lunn Investment Management is committed to creating a diverse and inclusive environment and is proud to be an equal opportunity employer. All qualified applicants will receive consideration for employment without regard to gender, ethnicity, religion, sexual orientation or expression, disability, or age.
We welcome applications from candidates with different levels of experience, including interns, new graduates, and experienced professionals.The annual base salary for this position is up to $200,000 for new graduates. Our compensation and benefits package includes substantial variable compensation in the form of a year-end bonus, RRSP contribution matching, health benefits, and family building benefits.Compensation will be determined based on experience and qualifications.
To apply for this position, please submit your resume, cover letter, and academic transcripts.