At a Glance
- Tasks: Join a dynamic team as an Investment Analyst, focusing on portfolio construction and investment research.
- Company: AXA Group is a global leader in insurance and asset management, dedicated to human progress.
- Benefits: Enjoy hybrid working, competitive health benefits, and opportunities for personal growth.
- Why this job: Be part of a responsible company that values diversity and sustainability while making a real impact.
- Qualifications: Strong quantitative skills, experience in risk management, and knowledge of ESG considerations are essential.
- Other info: This is a 12-month fixed-term contract based in London, with a focus on collaboration and innovation.
The predicted salary is between 28800 - 48000 Β£ per year.
At AXA IM our purpose, to act for human progress by investing for what matters, is central to every action we take as a business. As a responsible asset manager, we actively invest for the long-term to help our clients, our people and the world to prosper.
The role involves working as a member of a specialist analytical team which focuses on portfolio construction/investment risk management and investment research/alpha support (including the integration of ESG/sustainability/climate transition criteria), working closely with the investment teams to support & enhance investment processes and to contribute to product development and investment governance.
Your role and responsibilities will include:
- Support PMs in building well-constructed portfolios β using a range of detailed risk insights, market considerations and deep understanding of investment processes.
- Provide analytical research and support for alpha generation β using proprietary quantitative research & screening techniques and leveraging 3rd party quantitative tools and datasets and including the integration of ESG/sustainability/climate transition criteria within portfolios.
- Provide analytical support for new product concept evaluations and new client requirements β by evaluating investment opportunity set and product concept characteristics and by modelling potential investment outcomes.
- Provide investment oversight & challenge β leveraging detailed knowledge of investment processes, implementation approaches and expected portfolio characteristics and behaviours in differing market environments.
The role requires the following elements:
- Building and leveraging strong working relationships with portfolio managers within the investment teams (for specific strategies) and senior management.
- Participating in regular PM and strategy team meetings (including preparation & presentation of analytical content to support the strategies being reviewed/discussed).
- Participating in client pitches and presentations alongside the portfolio managers as part of the client proposition from the investment team.
- Design & production of standard and bespoke analytics on a pro-active and reactive basis in order to provide advisory support for portfolio construction and investment processes for existing and new products and also for commercial and business development needs.
- Leading specific team and investment platform project initiatives and the ongoing design & development of enhancements to core analytics to support specific investment strategies, including the incorporation of ESG/RI/Sustainable Investment considerations within investment processes.
As a member of the Equities & Multi Assets Investment Analytics team, the role also requires the provision of technical leadership, guidance, and knowledge-sharing with less experienced team colleagues.
Your qualifications and experience:
- Strong quantitative background β mathematics/econometrics/engineering preferred.
- Experience in a similar role.
- Risk management/portfolio construction/portfolio management background.
- Deep knowledge of fundamental analysis and equity portfolio characteristics.
- Strong Equity bias required but experience of multi-asset risk management useful.
- Good working knowledge of responsible investment and integration of ESG/sustainability/climate transition considerations alongside financial criteria in investment decision-making.
- Strong Excel skills essential.
- Strong FactSet/Bloomberg skills preferred.
- Python and Tableau experience desired.
- CFA or equivalent.
Your knowledge and skills:
- Active risk management mindset β a rounded approach to building portfolio risk insights is key.
- Risk model evaluation/ability to understand risk models from first principles and evaluate outputs accordingly.
- Good communication & presentation skills essential.
- High degree of reliability and accuracy.
- Ability to demonstrate strong organisational skills.
- Able to apply judgement/form & express views on portfolios/markets based on analytics and insights developed.
- Self-starter, able to work autonomously where needed but collaboratively also β a team-player mindset is preferred.
We would love to know more about you. Letβs connect! Send us your resume.
AXA IM is an Equal Opportunity Employer, and we encourage candidates with disabilities or any other protected characteristic to apply. We are committed to providing reasonable accommodation to qualified applicants and employees with disabilities, when needed, to apply for a position or to perform essential job functions.
We are committed to offer you an environment where you can:
- Grow your potential: Be part of a forward-thinking business with internal opportunities and personalized learning paths available to help constantly develop your skills and abilities.
- Shape the way you work: Work for a company which is highly committed to providing flexibility & balance to its employees, offering you a large range of benefits (hybrid working, competitive health benefits, among many others).
- Thrive within a diverse community: Play a role within a responsible company that actively recognizes and values individual differences in a diverse and inclusive workforce.
- Move the world forward: Join a responsible employer that acts in favor of societal and environmental causes as an investor, insurer and company, notably through the AXA Heart in Action association. As part of our commitment to sustainability and environmental responsibility, we will celebrate your arrival by planting a tree.
Investment Analyst (12 Month Fixed Term Contract) employer: AXA Group
Contact Detail:
AXA Group Recruiting Team
StudySmarter Expert Advice π€«
We think this is how you could land Investment Analyst (12 Month Fixed Term Contract)
β¨Tip Number 1
Familiarise yourself with AXA IM's investment philosophy and recent projects. Understanding their approach to ESG and sustainability will help you align your discussions during interviews, showcasing your genuine interest in their mission.
β¨Tip Number 2
Network with current or former employees of AXA IM on platforms like LinkedIn. Engaging in conversations about their experiences can provide valuable insights into the company culture and expectations for the Investment Analyst role.
β¨Tip Number 3
Brush up on your quantitative analysis skills, particularly in Excel and any relevant programming languages like Python. Being able to demonstrate your technical abilities in these areas during interviews will set you apart from other candidates.
β¨Tip Number 4
Prepare to discuss specific examples of how you've applied risk management and portfolio construction principles in past roles. Having concrete examples ready will help you illustrate your expertise and fit for the position.
We think you need these skills to ace Investment Analyst (12 Month Fixed Term Contract)
Some tips for your application π«‘
Tailor Your CV: Make sure your CV highlights relevant experience and skills that align with the Investment Analyst role. Focus on your quantitative background, risk management experience, and any knowledge of ESG/sustainability criteria.
Craft a Compelling Cover Letter: Write a cover letter that showcases your passion for investment analysis and your understanding of AXA IM's mission. Mention specific experiences that demonstrate your analytical skills and ability to work collaboratively with portfolio managers.
Highlight Technical Skills: Emphasise your proficiency in Excel, FactSet, Bloomberg, Python, and Tableau. Provide examples of how you've used these tools in previous roles to support investment decisions or portfolio construction.
Showcase Communication Skills: Since good communication and presentation skills are essential for this role, include examples of past experiences where you successfully communicated complex information to stakeholders or participated in client pitches.
How to prepare for a job interview at AXA Group
β¨Understand the Role
Make sure you have a solid grasp of what an Investment Analyst does, especially in the context of AXA IM. Familiarise yourself with portfolio construction, risk management, and the integration of ESG criteria, as these are key aspects of the role.
β¨Showcase Your Quantitative Skills
Since a strong quantitative background is essential, be prepared to discuss your experience with mathematics, econometrics, or engineering. Highlight any relevant projects or tools you've used, such as Python or Excel, to demonstrate your analytical capabilities.
β¨Prepare for Technical Questions
Expect questions that assess your understanding of risk models and portfolio management. Brush up on fundamental analysis and be ready to explain how you would evaluate investment opportunities and manage risks in different market environments.
β¨Demonstrate Team Collaboration
AXA IM values strong working relationships within teams. Be ready to share examples of how you've successfully collaborated with others, particularly in presenting analytical content or participating in client pitches, to show that you're a team player.