About the role
Role/Responsibilities
- Research and develop in-house trading strategies, used by both discretionary and quantitative traders.
- Conduct quantitative research on market microstructure, applying knowledge to improve trading algorithm and identify market anomalies.
- Develop and maintain predictive models to optimize trade execution and minimize transaction costs, utilizing both linear and non-linear techniques.
- Collaborate with cross-functional teams, including portfolio managers and researchers, to design and implement solutions for the trading strategies.
- Stay current and report on changes in market microstructure.
Requirements
- Master's degree or higher in a quantitative field such as Finance, Mathematics, Statistics, Computer Science, or a related discipline.
- A minimum of 2 years of experience in quantitative research, building statistical models for intraday study.
- Solid understanding of market impact.
- Proficiency in programming languages such as Python and C++. Experience in AWS is preferred.
- Strong knowledge in macro products, including FX and bonds, is a plus.
- Commitment to the highest ethical standards.
The annual base salary range is $125,000-200,000 (USD). Actual compensation offered to candidate may vary from posted hiring range based upon geographic location, work experience, education, and/or skill level among other things. Details about eligibility for bonus compensation (if applicable) will be finalized at the time of offer.
Aplyr's read
Point72 is a global asset management firm known for its multi-strategy investing and rigorous analyst programs, attracting driven professionals in finance and technology.
What's promising
- •Point72's multi-strategy approach offers diverse investment exposure and learning opportunities.
- •The firm invests heavily in technology, providing cutting-edge tools for employees.
- •Point72 Academy programs are renowned for developing top-tier investment professionals.
What to watch
- •The firm's high-performance culture may lead to intense work pressure.
- •Regulatory scrutiny is a constant concern due to past controversies.
- •Limited public information about work-life balance and employee satisfaction.
Why Point72
- •Point72 manages the personal capital of founder Steven A. Cohen.
- •The firm combines traditional and quantitative strategies in its investment approach.
- •Point72 offers specialized roles in macro technology and quantitative analysis.
Aplyr’s read is generated by AI from public sources. Was it useful?
About Point72
Point72 Asset Management is a global asset management firm that manages the capital of its founder, Steven A. Cohen, and certain employees. The firm employs a multi-strategy approach to investing, focusing on long/short equity, macroeconomic trends, and quantitative strategies.