Analyst - Portfolio Specialist - Global Multi-Asset
By Morgan Stanley At New York, NY, United States
Strong quantitative skills and experience in use of Microsoft Excel, PowerPoint and Word.
Gather, review and apply data from internal and external sources to support ongoing and ad hoc client reporting requirements.
Self-starter with drive to be successful and ability to manage and execute simultaneous projects and tasks without reminders.
Assist with writing weekly, monthly and quarterly performance and portfolio positioning reports for existing clients.
Oversee the gathering and explanation of data and investment process required in Request for Proposals (RFPs) and other questionnaires.
Assist with analytics such as performance and risk attribution.
Analyst/Associate Multi-Family Jobs
By Brick & Vine At Oklahoma City, OK, United States
1-2 years demonstrated work experience in asset management, property management, or related role is preferred.
Excellent skills in project management and managing multiple tasks while exhibiting a strong attention to organization and detail.
Excellent time management skills with a proven ability to meet deadlines
The compensation offered to the successful candidate will be directly commensurate with the candidate’s experience and qualifications.
Lead asset management duties on properties including weekly calls with property management teams, operational partners and delivering monthly/quarterly/annual variance reports
Collaborate with property management teams to establish and implement property maintenance plans, capital improvement projects, and operating budgets
Administrative Business Coordinator, Multi-Asset Strategy & Solutions
By BlackRock At New York, NY, United States
Developed time management skills and an ability to switch between tasks quickly at short notice
Minimum five years of corporate administrative experience in roles that interfaced with external clients and executive management.
Ability to perform in a fast-paced environment and interact with senior management under demanding conditions
Proactively manage complex diary scheduling liaising with other senior Administrative Assistants as required
Experience in proactively supporting senior leaders and collaborating with others
Experience working on a global team, understanding cultural and time zone differences
Multi-Asset Strategy & Solutions - Associate, Manager Research - Public Equities Or Fixed Income
By BlackRock At New York, NY, United States
Participate in the design and ongoing management of portfolios with well-researched proposals for strategic investments
Stay up to date about products and trends in the investment management industry
3+ years of experience and proven success in conducting investment research on asset managers that provide equity or fixed income strategies
Make well-researched recommendations on asset class opportunities and identify investment managers best able to complete these
Work closely with BlackRock multi-manager investments teams and tailor investment solutions to our global clients
Document research findings from initial due diligence and ongoing monitoring with well-prepared reports summarizing manager performance and portfolio positioning
Research Associate, Asset Allocation Research
By Fidelity Investments At Boston, MA, United States
Research Associate, Fidelity Asset Management Solutions
Undergraduate degree in Economics or significant economics course work with a Finance or related degree
Strong academic record and/or 2-4 years of meaningful work or internship experience
Experience in econometrics (coursework or work related)
Excellent Excel and programming skills required
Validated interest/experience in conducting research projects
Research Analyst, Asset Allocation Research
By Fidelity Investments At Boston, MA, United States
Team player with excellent interpersonal and project management skills
Proven understanding of economics and finance. Preferred Masters degree in Economics and/or 2-4 years of equivalent applied experience; CBE/CFA preferred
Research Analyst, Fidelity Asset Management Solutions
Strong fundamental understanding of economic data and experience in econometrics required
Deep understanding of business cycle dynamics, with experience in economic strategy, asset allocation, or business-cycle modeling preferred
Outstanding written and verbal communications skills
Multi-Asset Strategy & Solutions - Associate, Manager Research - Public Equities And Fixed Income
By BlackRock At New York, NY, United States
Participate in the design and ongoing management of portfolios with well-researched proposals for strategic investments
Stay up to date about products and trends in the investment management industry
Demonstrated experience and proven success in conducting investment research on asset managers that provide equity or fixed income strategies
Make well-researched recommendations on asset class opportunities and identify investment managers best able to complete these
Work closely with BlackRock multi-manager investments teams and tailor investment solutions to our global clients
Document research findings from initial due diligence and ongoing monitoring with well-prepared reports summarizing manager performance and portfolio positioning
Research Analyst Iii - Eagle Asset Management
By Raymond James At United States
Meets with portfolio management to communicate buy and sell recommendations for the followed companies.
Bachelor's Degree in Finance, Accounting or Business and seven (7) years of research experience in the financial industry.
An equivalent combination of experience, education, and/or training as approved by Human Resources.
Performs other duties and responsibilities as assigned.
Principles of banking and finance and securities industry operations.
Quantitative and analytical skills sufficient to assist in the development of corporate financial projections and equity valuation metrics.
Multi-Asset Analyst Jobs
By PineBridge Investments At New York, United States
0-2 years’ related experience with financial services ideally within an asset management environment
Bachelor’s Degree required, with disciplines in Finance, Business, Engineering and/or Economics preferred
Excellent interpersonal and communication skills, both written and verbal
Working knowledge of Bloomberg would be a plus
Salary Range: $85,000-95,000 annually + bonus + benefits
Effectively and efficiently respond to inquiries and requests from Business Development and current/potential clients
Multi Asset Class Risk Analyst (Lam)
By Lazard Asset Management At New York, United States
Strong verbal communications skills and comfort engaging all levels of firm management.
Conduct risk measurement, management and reporting for internal and external purposes
Recommend, develop and integrate ongoing risk management practices which include but not limited to asset allocation, hedge analysis, and factor screening
Absorb and digest complex information, analyze risk impact and escalate issues with clarity and confidence to Portfolio Management and Senior Management
Advanced Excel skills and R, VBA or Python programming experience
Liaise with Portfolio Managers and IT Development team to continuously improve systems and tools
Multi Asset Trader Jobs
By IDB At , New York, 10017, Ny $150,000 - $190,000 a year
Market the capabilities of and products offered by the trading desk in order to generate more trading volume.
Manage trading counter party relationships.
Develop and program a set of analytics to generate trade/swap ideas based on market conditions and knowledge of customer holdings.
Five Years of Related Work Experience
Refine investment representative inquires to uncover client specific needs and identify appropriate products.
Analyze and assess issuers and securities and develop credit views on different elements of risk.
Multi Asset Protection Manager
By Home Depot / THD At , Tukwila, 98108, Wa $90,000 a year
Conduct performance reviews, utilize performance management to address performance opportunities, and attend RDO
Utilization/management of physical security and investigations systems (CCTV, Alarm, Exception Based Reporting)
Manages the Company's shrink reduction strategy
Manages execution of 3rd party guard resources.
Associates/Bachelor's degree in related field and or 3+ years experience in retail AP or related field
3+ years multi-unit retail AP experience

Are you looking for an exciting opportunity to join a dynamic team of research analysts? We are looking for a Multi Asset Research Analyst to join our team and help us make informed decisions about our investments. You will be responsible for researching and analyzing a variety of asset classes, including stocks, bonds, commodities, and alternative investments. You will also be responsible for developing and maintaining financial models and providing recommendations to our portfolio managers. If you have a passion for financial markets and a strong analytical background, this could be the perfect job for you!

Overview A Multi Asset Research Analyst is responsible for conducting research and analysis of multiple asset classes, such as stocks, bonds, commodities, and derivatives. They provide insights and recommendations to clients and portfolio managers to help them make informed investment decisions. Detailed Job Description The Multi Asset Research Analyst is responsible for conducting research and analysis of multiple asset classes, such as stocks, bonds, commodities, and derivatives. They are responsible for analyzing financial data, market trends, and economic indicators to identify investment opportunities and risks. They also provide insights and recommendations to clients and portfolio managers to help them make informed investment decisions. Job Skills Required
• Strong analytical and problem-solving skills
• Excellent written and verbal communication skills
• Ability to work independently and as part of a team
• Knowledge of financial markets and investment strategies
• Proficiency in Microsoft Office Suite
• Knowledge of financial analysis software
Job Qualifications
• Bachelor’s degree in finance, economics, or a related field
• Master’s degree in finance, economics, or a related field preferred
• Professional certification in financial analysis or portfolio management preferred
• 5+ years of experience in financial analysis or portfolio management
Job Knowledge
• Knowledge of financial markets and investment strategies
• Knowledge of financial analysis software
• Knowledge of financial instruments and derivatives
• Knowledge of portfolio management principles
Job Experience
• 5+ years of experience in financial analysis or portfolio management
• Experience in conducting research and analysis of multiple asset classes
• Experience in providing insights and recommendations to clients and portfolio managers
Job Responsibilities
• Conduct research and analysis of multiple asset classes
• Analyze financial data, market trends, and economic indicators
• Identify investment opportunities and risks
• Provide insights and recommendations to clients and portfolio managers
• Monitor portfolio performance and make adjustments as needed
• Prepare reports and presentations for clients and portfolio managers
• Stay up to date on financial markets and investment strategies