Solutions Analyst (Multi Asset)

Capital GroupLos Angeles, NY
9h

About The Position

Capital Solutions Group (CSG) is the investment team responsible for performing research and making investment recommendations in support of Capital Group’s multi-asset portfolio solutions effort. The multi-asset portfolio solutions include but are not limited to: Target Date Solutions, Model Portfolios, and Custom Solutions globally. As a Solutions Analyst, you will join a team of collegial, honest, and intellectually rigorous researchers in Capital’s investment organization.

Requirements

  • You possess 5–15 years of relevant investment experience, with the ability to hit the ground running.
  • You bring a strong background in asset allocation and portfolio construction, combining quantitative modeling and fundamental analysis across multiple asset classes.
  • You have experience conducting research across global capital markets, including public equities, fixed income, and alternative investments.
  • You have familiarity with active and passive investment strategies, as well as public and private assets and their use within multi-asset solutions.
  • You have worked in an institutional environment focused on multi-asset portfolio design, such as an asset manager, pension fund, insurance company, endowment, or investment consultant.
  • You have experience with the asset allocation process and a solid understanding of risk models and portfolio-optimization techniques.
  • You have in-depth, hands-on experience applying time-series analysis, portfolio theory, optimization, Monte Carlo simulation, and statistical modeling to investment problems.
  • You understand and can balance quantitative rigor with forward-looking fundamental perspectives in investment research.
  • You demonstrate the ability to develop investment recommendations and support assertions with relevant quantitative and qualitative data.
  • You are a skilled communicator, able to engage with investment professionals, distill complex concepts into simple language, and deliver insights to diverse groups of associates.
  • You have strong academic credentials with an advanced degree or other qualifications in finance, economics, econometrics, mathematics, or data science.
  • You are proactive and collaborative, with the ability to work cross-functionally and contribute to the design and adoption of new analytical tools.
  • You have a working knowledge, interest, and curiosity in AI, and how it can be thoughtfully and responsibly applied to investment research.
  • A strong quantitative background is preferred.
  • Ability to learn rapidly and adapt to new challenges.

Nice To Haves

  • Experience with insurance-linked products or annuity-based solutions is a strong plus.
  • Knowledge of securitized products (ABS, CMBS), bank loans, REITs, commodities, and derivatives is a plus.
  • Proficiency in Python, R, MATLAB, or similar analytical languages is a plus, as is familiarity with FactSet or Bloomberg.

Responsibilities

  • Work in a team of Analysts, Portfolio Managers, Research Director, and Business Managers to deliver high-impact applied research in support of multi-asset portfolio-solutions platforms.
  • Research, develop, and maintain relevant analytical frameworks and quantitative models.
  • Contribute to and initiate foundational and portfolio-construction research that spans multiple portfolios and geographies, including North America, Europe, and Asia.
  • Conduct in-depth quantitative and fundamental research across asset classes to support asset allocation, portfolio construction, and risk management.
  • Contribute to the research and development of multi-asset solutions, which may include custom model portfolios, target date strategies, and guaranteed income solutions.
  • Provide coverage as required across global public asset classes, including fixed income and/or alternatives (REITs, Commodities, etc).
  • Assist in the development and implementation of quantitative asset-allocation and risk-modeling frameworks.
  • Contribute to research on portfolio construction, portfolio customization at scale, and innovative asset-allocation techniques that balance quantitative methods with forward-looking fundamental insights.
  • Support adoption of AI to enhance research workflows, improve decision-making efficiency, and explore how AI can be responsibly and effectively applied to investment research, including process improvement, data analysis, and model development.
  • Contribute to research on the impact of regulation on investment behavior and implications for Solutions.
  • Utilize industry publications, industry databases, internal proprietary databases, and additional internal resources as needed to compile research.
  • Leverage and apply domain knowledge to thematic research topics.
  • Identify new areas for research and find creative ways to solve problems as they apply to asset allocation and portfolio construction.
  • Participate in development of proprietary data and technology platform efforts to support and enhance research processes in a collaborative environment.

Benefits

  • competitive salary
  • bonuses and benefits
  • company-funded retirement contribution
  • generous time-away and health benefits from day one, with the opportunity for flexible work options
  • Receive 2-for-1 matching gifts for your charitable contributions and the opportunity to secure annual grants for the organizations you love
  • Access on-demand professional development resources that allow you to hone existing skills and learn new ones
  • individual annual performance bonus
  • Capital’s annual profitability bonus
  • retirement plan where Capital contributes 15% of your eligible earnings
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