Company Introduction: We’re home to Asias most dynamic and vibrant capital markets. Connecting capital, ideas, inspiration and innovation for deeper, more diverse and liquid global capital markets; providing greater choice and opportunity for our customers, each
Company Introduction: Were home to Asias most dynamic and vibrant capital markets. Connecting capital, ideas, inspiration and innovation for deeper, more diverse and liquid global capital markets; providing greater choice and opportunity for our customers, each
The Senior Risk Manager will be responsible for developing and implementing overall market risk strategies, monitoring, analysing and reporting of the fund’s risk exposures, ensuring limits are well monitored and reported, identifying material risks, proposing risk mitigations and following up on
Company Description Work smart, have fun and make an impact! Our purpose is to guide all companies toward a sustainable world. EcoVadis is the leading provider of business sustainability ratings. Our solutions are backed by an
Company Description Work smart, have fun and make an impact! Our purpose is to guide all companies toward a sustainable world. EcoVadis is the leading provider of business sustainability ratings. Our solutions are backed by an
Founded in 1997, Marshall Wace is a leading global alternatives investment manager specializing in long/short equity. We combine fundamental investing with systematic and quantitative strategies to deliver returns from a range of investment solutions. We are one
Do you want your voice heard and your actions to count? Discover your opportunity with Mitsubishi UFJ Financial Group (MUFG), the 7th largest financial group in the world. Across the globe, we’re 160,000 colleagues, striving to
Investment Trainee Program We look for young talented individuals to join our 2 year investment trainee program. The program is designed to prepare candidates for further advancement in investment teams including fundamental research, systematic investing, and
PIMCO is a global leader in active fixed income with deep expertise across public and private markets. We invest our clients capital across a range of fixed income and credit opportunities, leveraging our decades of experience
Key Responsibilities Generate macro views on global economy, with a particular focus on China, the United States, and Europe. Stay informed about regulatory changes, geopolitical events, and currency policies that impact the money market. Be the
Multi-Asset & Hedge Fund Solutions Summer Intern Summer Interns contribute to and learn from AB’s innovative use of technology, deep research capabilities, global presence, and breadth of investment management expertise. The flat corporate structure allows Interns
Responsibilities: Be responsible for handling trade surveillance and monitoring for the global market activities to detect and prevent potential market abuse, insider trading, and other regulatory violations Ensure that the surveillance program adheres to the firmwide
Role:- Build quantitative macro strategies, with workflows ranging from idea generation and data exploration to statistical analysis and model implementation Apply advanced modelling techniques and explore novel datasets. Work directly with a senior PM to research ,
Role:- As a quantitative researcher you will be responsible for developing automated quant trading strategies using sophisticated statistical techniques. Your role will involve:- Statistical modelling of financial and non-financial datasets, examining real-world data. Delivering high quality statistical
Responsibilities: Assess and monitor liquidity risk exposures and risk metrics on a regular basis, identify and measure liquidity risk factors and potential impacts to the Bank; Conduct regular liquidity stress testing and review the appropriateness of the assumptions to
The Role Conduct tracking and evaluation of marketing programs to enhance its effectiveness and increase customer profitability. Support segmentation design and targeting to promote usage & boost up active customer base of digital banking with collaboration
The Quant Trading team is responsible for executing trades and managing risks associated with derivative products, such as options, futures, and swaps. The team develops and implement trading strategies to support the quantitative trading team in making informed
The Quant Trading team is responsible for executing trades and managing risks associated with derivative products, such as options, futures, and swaps. The team develops and implement trading strategies to support the quantitative trading team in making informed
The Quant Trading team is responsible for executing trades and managing risks associated with derivative products, such as options, futures, and swaps. The team develops and implement trading strategies to support the quantitative trading team in making informed
Responsibilities Assist in the design of the validation framework and methodology in compliance with the requirements from the regulators Validate internal rating models and HKFRS 9 ECL models for various types of exposures developed by Model