New York / London / Miami
We’re partnered with a leading $20bn+ AUM US hedge fund looking to add a Portfolio Manager within Futures Bond Basis.
The firm employs a diversified multi-strategy approach spanning both systematic and fundamental strategies. Combining deep fundamental research with advanced quantitative methods, they’ve delivered steady, long-term performance through rigorous risk management and strategic innovation. In recent years, the platform has expanded its capital base and strategy mix, underpinned by a culture that values collaboration, precision, and intellectual curiosity.
This opportunity offers autonomy, institutional-grade infrastructure, and a disciplined yet flexible risk framework that enables PMs to maximize performance.
Key Requirements:
- Proven, live and scalable Futures Bond Basis strategy, focused on U.S. markets.
- Strategy should be micro and relative value–driven — including fixed income RV, flies, and curve trades — rather than macro directional in nature.
- Demonstrable track record of consistent profitability, ideally generating $30m+ annual PnL.
- Prior or current experience at a top-performing multi-strategy hedge fund or proprietary trading platform.
- Open to candidates based in or willing to relocate to New York or Miami.
- Exceptional risk discipline, execution capability, and process clarity.
- Sub-PMs or senior traders with a clearly defined, replicable approach ready for independent deployment will also be considered.