Portfolio Manager - Relative Value (Any Asset Class)
Portfolio Manager Opportunity - Relative Value Strategy | $5bn Multi-Strat Hedge Fund
Our client, a prestigious $5bn hedge fund, is seeking to expand its investment footprint by hiring a Portfolio Manager with a Relative Value (RV) trading strategy. This is a rare opportunity to join a high-performing multi-strategy hedge fund platform with strong institutional backing and a commitment to innovation and diversification.
🔍 The Opportunity
- Role: Portfolio Manager - Relative Value Strategy
- Location: New York (with flexibility for other major financial hubs)
- Structure: Standalone book with direct PnL attribution
- Compensation: Performance-based PnL cut
🧠 What We're Looking For
- Proven track record running a Relative Value strategy across any asset class (e.g., rates, credit, equities, FX, commodities).
- Strong risk management discipline and a clear investment process.
- Ability to operate independently with minimal correlation to existing strategies.
- Entrepreneurial mindset with a desire to build and scale a new vertical within the fund.
🌱 Why This Role?
- Greenfield Build: Be the first PM in your asset class - full autonomy and ownership.
- Institutional Infrastructure: Access to world-class technology, capital, and operational support.
- Strategic Growth: Join a fund actively diversifying into new areas with long-term commitment to innovation.
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