- BlackRock (San Francisco, CA)
- …+ Design and optimize execution algorithms for trading corporate bonds and credit derivatives . + Improve liquidity estimation techniques. + Collaborate with ... management approaches aimed at maximizing outperformance to highly efficient indexing strategies designed to gain broad exposure to the...bonds, credit default swaps (CDS), and other credit instruments. + Conduct research on market… more
- JPMorgan Chase (New York, NY)
- …decisions, bringing clarity to complex situations. As an Associate on the Credit Derivative and Index Research team you will conduct quantitative and ... and gaining in-depth understanding of the products traded in the credit market. Derivative Research is fast-paced, demanding and intellectually stimulating.… more
- Equitable (New York, NY)
- …potential? The Derivatives and Hedging team manages a $100bn multi-asset derivatives portfolio (equity, rates, and credit ) spanning from linear instruments ... Company - GMxB (Guaranteed Minimum Benefits) or RILA (Registered Index -Linked Annuities) - and protects the Company's economic and...of the hedging programs to senior management + Conduct research and analysis on specific derivatives products,… more
- Aegon Asset Management (Baltimore, MD)
- …agent network covering North America, with diversity to match. Together with our nonprofit research institute and foundation, we tune in, step up, and are a force ... guiding the continuous developments and implementation of innovative solutions. + Research methodology and refine algorithms for the Strategic Asset Allocation… more
- BlackRock (New York, NY)
- …active management approaches aimed at maximizing outperformance to highly efficient indexing strategies designed to gain broad exposure to the world's capital ... and the industry-leading iShares(R) ETFs. **Who We Are** **Quantitative Modeling and Research (QMR)** is an innovative team within **Single Security Pricing (SSP)**… more
- Aegon Asset Management (Baltimore, MD)
- …agent network covering North America, with diversity to match. Together with our nonprofit research institute and foundation, we tune in, step up, and are a force ... Be familiar with advanced financial risk tools such as illiquidity premiums, expected credit loss (ECL) models under IFRS 9, economic scenario generators (ESG), and… more