Support day-to-day portfolio management of exchange-traded funds (ETFs) spanning equity, fixed income, and derivative strategies, ensuring adherence to investment guidelines, benchmark tracking, and risk parameters. Collaborate with Portfolio Managers to monitor daily fund flows, manage creation/redemption activity, and propose and execute rebalancing trades to maintain target exposures. Conduct quantitative and qualitative analysis of portfolio performance, risk characteristics, and market trends using Bloomberg and Python to inform investment decisions. Develop, maintain, and enhance portfolio monitoring and analytical tools using Excel, Python, and SQL to streamline reporting and improve data integrity. Research fund flows, market positioning, and peer ETF strategies to support investment recommendations and ongoing portfolio optimization. Partner with Product Development, Trading, and Risk teams to support new ETF product launches, portfolio transitions, and index reconstitutions. Apply data analysis and visualization to assess exposures, performance drivers, and market dynamics within ETF structures, leveraging primary/secondary market mechanics, and index methodologies. Develop or support derivative-based ETF products, including options overlay, buffered outcome, or structured income strategies, leveraging experience with international ETF markets, including knowledge of Asia-Pacific or China-based ETF structures, regulatory considerations, or cross-listing frameworks. Prepare recurring performance and exposure reports for internal investment committees and senior management.
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Job Type
Full-time
Career Level
Mid Level