At a Glance
- Tasks: Manage significant capital allocations and execute Equity Long/Short strategies.
- Company: Join Caxton Associates, a global trading firm with a rich history since 1983.
- Benefits: Collaborative work environment and opportunities to learn from top investors.
- Why this job: Perfect for those passionate about financial markets and eager to generate alpha.
- Qualifications: 5+ years in portfolio management with proven investment success and strong analytical skills.
- Other info: Submit your CV and investment track record to apply.
The predicted salary is between 72000 - 108000 £ per year.
Caxton Associates, founded in 1983, is a global trading and investment firm with offices in London, New York, Monaco, Singapore, and Dubai. Caxton Associates' primary business is to manage client and proprietary capital through multiple liquid global hedge fund disciplines, including discretionary macro, systematic macro, emerging markets macro, systematic trading, equity long-short, and event-driven strategies. Assets are managed via a broad mandate to trade in a variety of global markets and instruments with a focus on alpha generation for our clients.
The Role: Caxton Associates is seeking experienced Portfolio Managers specializing in Equity Long/Short strategies. In this pivotal role, you will be entrusted with managing a significant capital allocation and overseeing rigorous risk management across all active positions. In our organization, we place a high value on collaboration, promoting regular and ongoing discussions about global macroeconomic trends, geopolitical developments, and the evolution of financial markets. Professionals who can extract key insights from their investment universe to inform and shape the broader team's perspective and leverage this collective knowledge to generate alpha within their mandate will find this is the perfect platform for their talents.
Key Responsibilities:
- Independently manage a significant capital allocation by creating, executing, and monitoring an Equity Long/Short strategy.
- Construct portfolios with a focus on maintaining low net delta, balanced factor and industry exposure, and high idiosyncratic risk attribution.
- Conduct thorough market and industry research, fundamental business analysis, and business cycle research.
- Implement stringent risk management, actively assessing the merits of all positions and investment theses.
- Collaborate effectively within a global team environment, learning from and adding value to collective insights and expertise.
- Ensure strict compliance with all industry rules, regulations, and internal company policies.
Requirements:
- Proven track record in Equity Long/Short, demonstrated by robust investment acumen and a Sharpe Ratio greater than 1.5.
- A minimum of 5 years of experience in portfolio management, preferably within a hedge fund.
- Proficiency in financial modelling, sector analysis, business structure analysis, and conducting business cycle research.
- Demonstrated expertise in the industries and/or regions of focus, as well as risk management techniques for equity portfolios.
- Humility and the capacity to thrive in a highly collaborative global team, with a strong desire to learn from and alongside other investors.
- Unwavering commitment to the highest standards of ethics and integrity.
- Exceptional decision-making abilities, capable of performing well under pressure.
Application Instructions:
To apply, please submit your CV, a detailed account of your investment track record (including evidence of a Sharpe Ratio greater than 1.5), and a comprehensive outline of your proposed investment strategy and process. If you're an experienced portfolio manager with a passion for collaboration and a keen interest in financial markets, we'd love to connect with you.
Equity L/S Portfolio Manager - London employer: Caxton Associates
Contact Detail:
Caxton Associates Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Equity L/S Portfolio Manager - London
✨Tip Number 1
Network with professionals in the hedge fund industry, especially those who have experience in Equity Long/Short strategies. Attend industry conferences or webinars to meet potential colleagues and learn about the latest trends.
✨Tip Number 2
Stay updated on global macroeconomic trends and geopolitical developments that could impact equity markets. This knowledge will not only enhance your discussions during interviews but also demonstrate your commitment to the role.
✨Tip Number 3
Prepare to discuss your investment track record in detail, focusing on your Sharpe Ratio and how you achieved it. Be ready to explain your decision-making process and risk management techniques in previous roles.
✨Tip Number 4
Foster a collaborative mindset by engaging with peers in the finance community. Share insights and seek feedback on your investment strategies, as this will showcase your ability to thrive in a team-oriented environment.
We think you need these skills to ace Equity L/S Portfolio Manager - London
Some tips for your application 🫡
Tailor Your CV: Make sure your CV highlights your experience in Equity Long/Short strategies. Include specific achievements, such as your Sharpe Ratio and any significant capital allocations you've managed.
Detail Your Investment Track Record: Provide a comprehensive account of your investment track record. Clearly outline your performance metrics, focusing on your Sharpe Ratio and how it demonstrates your investment acumen.
Outline Your Investment Strategy: Craft a detailed outline of your proposed investment strategy and process. Be specific about how you plan to manage risk and generate alpha, showcasing your understanding of market dynamics.
Showcase Collaboration Skills: In your application, emphasise your ability to work collaboratively within a team. Provide examples of how you've contributed to collective insights and decision-making in previous roles.
How to prepare for a job interview at Caxton Associates
✨Showcase Your Track Record
Be prepared to discuss your investment track record in detail, especially highlighting your Sharpe Ratio and how it reflects your decision-making skills. Use specific examples from your past experiences to illustrate your success in managing equity long/short strategies.
✨Demonstrate Market Knowledge
Research current global macroeconomic trends and recent geopolitical developments. Be ready to discuss how these factors influence your investment decisions and portfolio management strategies, showcasing your ability to extract insights from the market.
✨Emphasise Collaboration Skills
Since the role values collaboration, prepare to share examples of how you've worked effectively within a team. Highlight instances where you contributed to collective insights or learned from others, demonstrating your humility and teamwork abilities.
✨Prepare for Risk Management Questions
Expect questions about your approach to risk management. Be ready to discuss specific techniques you've used to assess and mitigate risks in your portfolios, as well as how you ensure compliance with industry regulations and internal policies.