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- 2008-9-13
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- 1970-1-1
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Careers vary but usually revolve around derivatives pricing and trading, financial risk management, structured products, analytics software development, and quantitative portfolio management.$ |3 D: E4 i9 Z* b$ e% M8 I
Some develop proprietary trading strategies for the hedge funds. Others build and assess risk management models for the banks and brokerage firms. One manages a credit derivatives desk, another trades volatility at one of the large banks, another is involved in fixed income research, another is an options trader on the floor of the AMEX. While many remain after graduation in the New York area and most in the United States, others take positions in London, Hong Kong, Singapore or Tokyo. Quantitative Portfolio Management
Sample Job Titles7 M7 j- R8 h4 z3 s; | Assistant Vice President, Quantitative Analyst Associate, Fixed Income Quantitative Research Research Analyst3 }. d: ]* E7 ]9 O/ _ Senior Research Analyst4 h' {! E; U( K0 H2 ~" _ Senior Asset and Liability Manager |
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