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Portfolio Manager - Volatility

Qenexus

Dubai, United Arab Emirates · Jornada completa

Sé el primero en postularte

Experiencia
Cualquier
Salario
Vacantes
1
Al corriente
Hace 15 horas
Modo de trabajo
En la oficina
Reanudar
Se requiere solicitud

Dónde trabajarás

Descripción del trabajo

Overview

A global macro fund is expanding in Dubai and is seeking a Portfolio Manager specializing in cross-asset volatility. This role focuses on generating alpha independently from the fund's other strategies, aiming for returns that are uncorrelated to existing portfolio exposures rather than hedging.

Key Responsibilities

  • Manage a cross-asset volatility trading book emphasizing trades with high convexity and high payout profiles.
  • Detect mispriced probabilities in the market and convey macroeconomic views primarily through options or alternative instruments with superior expected return potential.
  • Leverage trade structuring as a primary source of competitive advantage and alpha generation.
  • Develop proprietary scanners and screening mechanisms to price a large volume of binary options daily, thereby identifying trading opportunities.
  • Achieve a return profile that is decorrelated from the main portfolio; accept irregular profit and loss patterns as long as expected returns remain positive and attractive.

Candidate Requirements

  • Experience as a macro strategist or structurer within a banking environment, ideally complemented by a proven track record on the buy-side.
  • Expertise across volatility surfaces, skewness, binary options, and complex structured products.
  • Broad cross-asset knowledge is preferred; however, specialists focused on FX, rates, or equity derivatives who demonstrate curiosity and adaptability will also be considered.
  • Comfortable with practical tooling development; extensive quant or coding expertise is not mandatory.
  • Willingness to manage a long-convexity portfolio that is distinct from a tail risk hedge.
  • Must be willing to relocate and work from Dubai.

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