Dein persönlicher KI-Karriere-Agent
Emerging Markets Analyst(m/w/x)
Economic modeling and forecasting for fixed income strategies in emerging markets. Master's degree and 3-5 years EM economic analysis experience with advanced statistical techniques (ARIMA, VAR, VECM) required. Direct impact on multi-billion dollar fixed income portfolios.
Anforderungen
- 3-5 years’ experience in EM economic analysis at public institution or top-tier buy-side firm
- Master’s Degree in economics, finance, or similar quantitative discipline
- Proven ability in macroeconomic forecasting and statistical techniques (ARIMA, VAR, VECM)
- Knowledge of financial markets and macroeconomic policy-making
- Experience tracking/analyzing sovereign debt and government balance sheets
- Strong understanding of derivatives (options Greeks, hedging strategies)
- Strong written and oral communication skills
- Critical thinking, attention to detail, independent problem-solving
- Advanced programming skills and Bloomberg proficiency
- Ability to work unconventional hours in high-energy, time-sensitive team
Aufgaben
- Build and maintain economic models
- Track and forecast GDP, inflation, interest rates, fiscal balances
- Actively monitor portfolio positions
- Stay ahead of macroeconomic trends
- Anticipate political events and market catalysts
- Develop original data-driven analysis
- Translate analysis into clear investment ideas
- Formulate clear market views
- Assist with investment idea generation
- Support portfolio construction efforts
- Contribute to day-to-day risk management
Berufserfahrung
- 3 - 5 Jahre
Ausbildung
- Master-Abschluss
Sprachen
- Englisch – verhandlungssicher
Tools & Technologien
- ARIMA
- VAR
- VECM
- Bloomberg
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Emerging Markets Analyst(m/w/x)
Economic modeling and forecasting for fixed income strategies in emerging markets. Master's degree and 3-5 years EM economic analysis experience with advanced statistical techniques (ARIMA, VAR, VECM) required. Direct impact on multi-billion dollar fixed income portfolios.
Anforderungen
- 3-5 years’ experience in EM economic analysis at public institution or top-tier buy-side firm
- Master’s Degree in economics, finance, or similar quantitative discipline
- Proven ability in macroeconomic forecasting and statistical techniques (ARIMA, VAR, VECM)
- Knowledge of financial markets and macroeconomic policy-making
- Experience tracking/analyzing sovereign debt and government balance sheets
- Strong understanding of derivatives (options Greeks, hedging strategies)
- Strong written and oral communication skills
- Critical thinking, attention to detail, independent problem-solving
- Advanced programming skills and Bloomberg proficiency
- Ability to work unconventional hours in high-energy, time-sensitive team
Aufgaben
- Build and maintain economic models
- Track and forecast GDP, inflation, interest rates, fiscal balances
- Actively monitor portfolio positions
- Stay ahead of macroeconomic trends
- Anticipate political events and market catalysts
- Develop original data-driven analysis
- Translate analysis into clear investment ideas
- Formulate clear market views
- Assist with investment idea generation
- Support portfolio construction efforts
- Contribute to day-to-day risk management
Berufserfahrung
- 3 - 5 Jahre
Ausbildung
- Master-Abschluss
Sprachen
- Englisch – verhandlungssicher
Tools & Technologien
- ARIMA
- VAR
- VECM
- Bloomberg
Über das Unternehmen
Garda Capital Partners
Branche
FinancialServices
Beschreibung
The company is a multi-billion dollar alternative investment firm with over 22 years of experience deploying relative value strategies across fixed income markets for institutional investors.
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