Senior Analyst
Infos sur l'emploi
- Date de publication :18 novembre 2024
- Taux d'activité :100%
- Type de contrat :Durée indéterminée
- Langue :anglais (Courant)
- Lieu de travail :Neuhofstrasse 20, 6340 Baar
Millennium is a global hedge fund with more than 4,000 employees and offices in the United States, Europe and Asia. We were founded in 1989, and we employ a global multi-strategy investment approach, opportunistically engaging in a broad array of trading and investing strategies. Millennium has differentiated itself from other investment management firms through our consistent ability over the last 25 years to generate returns that have not been correlated to the general market.
The talent and dedication of our people are critical to our success. We offer an opportunity for developing one’s professional career while working with individuals trained in a variety of disciplines in a collegial and dynamic environment. We also offer a broad range of competitive benefits on a global basis.
1. Primary Responsibilities
- Initiate coverage on Technology, Media and Telecom (TMT) companies in Europe with an opportunity to expand to other regions.
- Maintain trade coverage on TMT companies’ corporate actions and market events, keeping valuation models updated with new data and news flow.
- Identify investment opportunities and generate alpha in the TMT sector of coverage.
- Develop dashboards together with internal Quants and Developers to help the Senior Portfolio Manager (SPM) monitor market activities and trade flow in the coverage as well as the opportunity set available.
- Work closely with other portfolio management team members monitoring other sectors in order to develop strong cross-sector expertise and foster collaborative trade idea generation across markets and sectors.
2. Job Requirements
- Bachelor’s degree with strong academic track record in Economics, or a related discipline is required.
- 5 years of experience contributing and building sector-specific investment processes to optimize sector coverage.
- Experience on the sell-side covering TMT and/or Leisure companies, wherein the candidate developed a strong process of building robust investment cases.
- Experience on the buyside initiating coverage on TMT and/or Leisure companies, handling investment cases from start to finish as well as understanding and assessing the risk reward framework of any investment recommendation.
- Proven track record in supporting SPMs and team members in their investment process.
- Experience building fundamental Relative Value portfolios helping to screen the stocks population, identify the best opportunities, correctly size the investment and ultimately build the portfolio and monitor associated risks.
- Proven record in building strong relationships with key market participants, including institutional investors, analysts, research teams, industry experts as well as corporates.
- Good understanding of Derivatives products (Futures, Options, etc.) and valuation factors that could impact the pricing of these instruments.
- Experience in trading equity exotics is a plus.