
Analyst
at Caxton Associates
Posted 8 hours ago
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- Compensation
- Not specified
- City
- Country
- United Kingdom, United States, Singapore, United Arab Emirates, India
Currency: Not specified
**Analyst** at Caxton Associates manages discretionary Global Macro portfolios, focusing on Emerging Markets. Conduct fundamental, thematic research, and generate investment ideas using Excel and Python. Collaborate with Portfolio Manager, meet with external experts, and identify cross-market opportunities. 3+ years of experience in Global Macro investing required.
Description
About Caxton Associates:
Caxton Associates, founded in 1983, is a global trading and investment firm with offices in London, New York, Singapore, Monaco, Dubai and Bengaluru. Caxton Associates’ primary business is to manage client and proprietary capital through a suite of products designed to fit the specific needs of investors. Employing a multi-portfolio manager framework, Caxton excels in discretionary global macro investing, leveraging its diversified expertise across asset classes and markets.
Responsibilities:
- Work closely with the Portfolio Manager in the day-to-day management of a discretionary Global Macro portfolio.
- Conduct fundamental and thematic research across Emerging Markets, including macroeconomic developments, political events, central bank policy and asset markets.
- Generate investment ideas across Emerging Markets and broader global macro opportunities.
- Build analytical tools to support trade screening, idea generation and portfolio analysis using Excel and Python.
- Develop and maintain relationships with external experts, economists, strategists and other market participants across Emerging Markets.
- Monitor global macro developments and identify cross-market investment opportunities beyond Emerging Markets where relevant.
- Prepare investment analysis and present trade recommendations to the Portfolio Manager.
- For the right individual, the role offers the opportunity to develop into an Associate Portfolio Manager with responsibility for managing capital.
