Quantitative Research Analyst, Investment Risk and Capital Markets Research (Grantham, Mayo, van Otterloo & Co. LLC)

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10 minutes ago
Type
Full time
Salary
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sql python matlab statistical modeling time-series analysis
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πŸ“‹ Description

  • Contribute to monthly model reviews and assist with infrastructure improvements to streamline
  • Conduct research projects to enhance forecast components, including refining methodologies and the
  • Update and maintain forecast-related client materials and analytics across asset allocation
  • Migrate portfolio analytics tool across fund strategies to a user-interactive Python-based
  • Guide the GMO Asset Class Forecast and Capital Market Assumptions monthly update process; co-host
  • Transition forecast models to a new Python-based code platform enabling downstream applications and

🎯 Requirements

  • Master's degree (or foreign equivalent) in Mathematics, Economics, Finance, Statistics, or related
  • 3 years of experience in quantitative research analyst- or financial analyst-related occupation
  • 3 years of experience developing, maintaining, and refining quantitative financial models for
  • 3 years of experience conducting quantitative research and analytics across multiple asset classes
  • 3 years of experience supporting portfolio construction and asset allocation activities
  • 3 years of experience using Python for quantitative financial modeling, data analysis, and

🎁 Benefits

  • May telecommute part of the week from commuting distance to Boston, MA in accordance with flexible
  • Full-time employment
  • Salary: $170,000 - $185,000
  • Qualifies for Employee Incentive Referral Program
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