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Senior Quantitative Analyst, Investment Strategies

Remote · Norway Full-time

Our client is seeking a highly skilled Senior Quantitative Analyst to join their elite team, focusing on developing and implementing sophisticated investment strategies. This position is fully remote, offering the flexibility to work from anywhere in the United States. You will be responsible for leveraging advanced statistical modeling, machine learning techniques, and data analysis to identify profitable trading opportunities, manage risk, and optimize portfolio performance. The ideal candidate possesses a strong academic background in a quantitative field, extensive experience in financial markets, and a proven ability to translate complex data into actionable investment insights. Responsibilities: Design, develop, and backtest quantitative trading models and algorithms for various asset classes. Conduct in-depth statistical analysis of market data to identify patterns, correlations, and predictive signals. Implement and refine machine learning models for forecasting, risk management, and portfolio optimization. Collaborate with portfolio managers and traders to translate research findings into practical investment strategies. Monitor the performance of live trading strategies and make necessary adjustments to models. Develop and maintain robust data infrastructure and analytical tools. Analyze and manage portfolio risk, ensuring compliance with regulatory requirements and firm-level risk limits. Stay current with the latest academic research and industry trends in quantitative finance and machine learning. Communicate complex quantitative concepts and findings clearly to both technical and non-technical audiences. Contribute to the ongoing innovation and improvement of the firm's quantitative research capabilities. Ensure the integrity and accuracy of all data used for analysis and modeling. Participate in the recruitment and mentoring of junior quantitative analysts. Qualifications: Ph.D. or Master's degree in a highly quantitative field such as Mathematics, Statistics, Physics, Computer Science, Financial Engineering, or Economics. Minimum of 6 years of relevant experience in quantitative analysis, algorithmic trading, or portfolio management within the financial industry. Strong programming skills in languages such as Python, C++, or R, with experience in relevant libraries (e.g., NumPy, SciPy, Pandas, TensorFlow, PyTorch). Deep understanding of financial markets, econometrics, time-series analysis, and statistical modeling. Proven experience with machine learning techniques applied to financial data. Experience with large datasets and high-frequency data analysis is a plus. Excellent analytical, problem-solving, and critical thinking skills. Strong written and verbal communication skills, with the ability to present complex ideas effectively. Ability to work independently and collaboratively in a remote team environment. Knowledge of cloud computing environments (e.g., AWS, Azure) for data analysis is beneficial. This is an exceptional opportunity for a talented quantitative analyst to drive innovation in investment strategies within a leading financial firm, all while enjoying the benefits of a fully remote work arrangement.

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