We are working with a range of Tier-1 macro hedge funds that are looking for strong Global Macro Portfolio Managers. Main asset classes traded are Rates & FX across DM and EM. Both fundamental and systematic/quant PMs will also be considered.
- Minimum Sharpe of 1.5+ for discretionary/fundamental macro and 1+ for systematic
- Must have a demonstrabale track record of managing at least $100m+ for at least 3 years with good returns + Sharpe (unfortunately we cannot consider strong PMs that have only been manging low AUM, such as $50m)
What is on offer:
- Competitive contracts & goood payout ratios
- Roles can be based in London, Geneva, NY, or Asia