【PIMCO】Portfolio Manager, FX Vol
仕事内容
• Combine market knowledge with macroeconomic and quantitative analysis to generate trade ideas in FX options across DM and EM.
• Primary focus will be on FX options, with the opportunity to develop into a broader focus across multiple asset classes within global fixed income and foreign exchange.
• Responsible for FX options execution across DM and EM across all PIMCO funds and client portfolios.
• Prepare materials and presentations related to trade activity and market conditions, and write regular market commentary
• Providing market color and insight to other portfolio managers
• Apply broad range of skills to ad hoc requests within the broad portfolio management context, assisting across functional areas
応募資格(必須経験など)
• Bachelor's degree from an accredited institution demonstrating strong academic credentials
• Minimum of five (5) years of successful experience in foreign exchange and global fixed income at a prominent buy-side or sell-side institution
• Direct experience in trading and managing options, with a deep understanding of market structure, pricing, and modeling
• Strong quantitative experience with developing, modifying, and using empirical investment models to analyze, compare, and contrast a diversity of market data and economic variables
• A commonsensical approach to investing
• Strong theoretical and applied knowledge of option Greeks
• Highly quantitative approach to developing trade ideas
• Proficiency in at least one computer language or experience of collaborating with quants on quantitative models for pricing or other analysis
• Astute ability to respect, listen to, and collaborate well with colleagues and clients
• Exceptional work ethic and ability to succeed in a high intensity environment
• Low ego, good sense of humor, emotional maturity, and humility to accept developmental feedback
• Strength of conviction without stubbornness
• Ability to remain calm and objective regardless of market volatility
• Unassailable ethics and integrity