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Investment Analyst (12 Month Fixed Term Contract)

AXA Group

London

Hybrid

GBP 45,000 - 65,000

Full time

4 days ago
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Job summary

A global leader in asset management is seeking an Investment Analyst for a 12-month fixed term role in London. You will support portfolio managers and provide analytical research to aid in alpha generation and risk management. The ideal candidate has a strong quantitative background, with expertise in ESG integration and proficiency in tools like Bloomberg and Python. This role offers a supportive environment with hybrid working options and health benefits.

Benefits

Hybrid working
Health benefits
Environmental initiatives

Qualifications

  • Strong quantitative background required.
  • Experience in a similar role is necessary.
  • Knowledge of risk management techniques essential.

Responsibilities

  • Support portfolio managers in analytical research.
  • Evaluate new product concepts and investment oversight.
  • Contribute to product development and analytics enhancements.

Skills

Quantitative analysis
Risk management expertise
ESG integration
Proficiency in Python
Proficiency with Tableau
Knowledge of fundamental analysis

Education

CFA or equivalent qualification

Tools

Excel
FactSet
Bloomberg

Job description

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Investment Analyst (12 Month Fixed Term Contract), London

Client: AXA Group

Location: London, United Kingdom

Job Category: Other

EU work permit required: Yes

Job Reference: bda097f16721

Job Views: 30

Posted: 12.08.2025

Expiry Date: 26.09.2025

Job Description:

At AXA IM, our purpose is to act for human progress by investing for what matters. We are a responsible asset manager investing for the long-term to help our clients, our people, and the world prosper.

As a future Investment Analyst, reporting to the Head of Equities Investment Analytics, you will be part of AXA IM Equities, Quant Solutions. Your role involves working in a specialist analytical team focusing on portfolio construction, investment risk management, and research, including ESG/sustainability integration.

Your responsibilities include supporting portfolio managers, providing analytical research for alpha generation, evaluating new product concepts, and offering investment oversight and challenge. You will build strong relationships within investment teams, participate in meetings, and contribute to product development and analytics enhancements. The role also involves technical leadership and knowledge sharing within the team.

Qualifications and experience required include a strong quantitative background, experience in a similar role, risk management expertise, knowledge of fundamental analysis, ESG integration, and proficiency with tools like Excel, FactSet, Bloomberg, Python, and Tableau. A CFA or equivalent qualification is preferred.

AXA Group is a global leader in insurance and asset management, committed to acting for human progress and maintaining values such as Customer First, Integrity, Courage, and One AXA.

We offer a supportive environment for growth, flexibility, diversity, and societal impact, including benefits like hybrid working, health benefits, and environmental initiatives.

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