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About the Role
Point72 is looking for an experienced professional to manage portfolio risk and oversee the development of sophisticated investment strategies. You'll work on various quantitative financial modeling systems to aid in analysis and research, while also supervising a dedicated team.
The ideal candidate will hold a Master's or Ph.D. and have at least 10 years of experience in developing quantitative models for financial markets. This role demands advanced skills in statistical analysis and a curiosity about market behavior.
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