Equity Long/Short Portfolio Manager - Market Neutral
Posted 2 hours 29 minutes ago by Meraki Talent
I am working with a leading global alternative investment platform that is looking to add experienced Equity Long/Short Portfolio Managers following continued growth and increased capital available for deployment.
We are interested in speaking with established PMs running market-neutral or low-net equity strategies with a demonstrable, attributable investment track record.
Areas of particular interest include:
- US Financials & REITs
- Japanese Equities
- Index Rebalancing / Passive Flow strategies
- We are looking for investors who can demonstrate:
- A consistent and attributable P&L track record
- Strong risk-adjusted returns and disciplined drawdown management
- A clearly defined and repeatable investment process
- Genuine security-selection or strategy-specific alpha
- An ability to operate within a market-neutral / controlled-factor-risk framework
- A clear understanding of the portability of their investment edge
- Experience managing institutional capital and risk
We are particularly interested in established Portfolio Managers, although exceptional senior investors with demonstrable risk ownership and a credible path to running standalone capital may also be considered.
The platform can provide significant capital, institutional infrastructure and the opportunity to scale successful strategies.
All conversations will be treated in the strictest confidence.