About the role
Cubist Systematic Strategies, an affiliate of Point72, deploys systematic, computer-driven trading strategies across multiple liquid asset classes, including equities, futures and foreign exchange. The core of our effort is rigorous research into a wide range of market anomalies, fueled by our unparalleled access to a wide range of publicly available data sources.
ROLE:
A Cubist PM team is looking for a Delta One trader to expand its footprint for a global futures and options-based strategy.
RESPONSIBILITIES:
- Manage all non-systematic execution in futures and options. In particular, liaise with the sell-side to source block liquidity in futures and options and manage RFQ/price negotiation process.
- Maintain close proximity to brokers and summarize trading ideas and axes. Source market color to complement existing data sources, including attending sell-side calls.
- Help monitor parameter moves across the delta-one space (namely implied dividends and funding spreads).
- Contribute to ad hoc trade analysis and investment ideas (e.g. bottom up dividend analysis, special situations deep dives).
- Contribute to expanding the range of tradable products, particularly in the non-listed space.
- Help with the development of new and improved workflow tools for trade monitoring and analytics, working alongside the team’s developers.
REQUIREMENTS:
- Bachelor’s degree or higher in Economics, Finance, or STEM field.
- 3-5 years of experience trading equity futures and options.
- Exposure to SQL or Python a plus.
- Tenacious, detail-orientated, organized, and proactive about potential operational risks.
- Keen intuition for markets and a passion for studying them.
- Commitment to the highest ethical standards.
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.
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