Description
About Us
AXQ Capital is a global quantitative investment firm with offices in New York, Beijing, Shanghai, and Hong Kong. We pursue consistent alpha through rigorous scientific research and sustained investment in technology and data infrastructure. Our strategies are deployed across global markets, spanning multiple geographies, asset classes, and trading horizons.
Job Duties
As a Portfolio Manager, you will develop and manage systematic strategies in equities and/or futures across US and global markets. Working closely with quantitative researchers and developers, you will design alpha-generating strategies, optimize portfolio construction, and implement risk management framework. This role provides end-to-end ownership of the investment process - from research and signal generation to execution and performance attribution. This role also offers a competitive formula payout structure and the opportunity to build and lead your own team as you scale.
Qualifications
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2+ years of track record running quant strategies in equities or futures as a sub-PM or senior QR
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Bachelor's, Master’s or PhD from a top-tier university in a quantitative or technical field
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Strong hands-on programming skills and experience working with large financial datasets
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Creative, analytical, and collaborative mindset with strong attention to detail
The anticipated annual base salary range for this position is $200,000 to $300,000, depending on prior experience and qualifications. We offer a competitive total compensation package that includes base salary and an annual discretionary bonus.
Benefits
AXQ team members enjoy comprehensive benefits, including:
- Medical, dental, and vision insurance
- 401(k) with employer matching
- Life and disability insurance
- Health savings and flexible spending accounts
- Generous paid time off
- Regular office-provided meals and team events
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