Jobs Companies AQR 2027 Portfolio Implementation Analyst

À propos de ce poste 2027 Portfolio Implementation Analyst chez AQR

AQR · Sur site · Greenwich, CT

About AQR Capital Management 

AQR is a global investment firm built at the intersection of financial theory and practical application. We strive to deliver concrete, long-term results by looking past market noise to identify and isolate the factors that matter most, and by developing ideas that stand up to rigorous testing. By putting theory into practice, we have become a leader in alternative strategies and an innovator in traditional portfolio management since 1998.

At AQR, our employees share a common spirit of academic excellence, intellectual honesty and an unwavering commitment to seeking the truth. We’re determined to know what makes financial markets tick – and we’ll ask every question and challenge every assumption.  We recognize and respect the power of collaboration, and believe transparency and openness to new ideas leads to innovation.

The Team

The Portfolio Implementation, Trading and Portfolio Finance team is responsible for the construction, optimization, and management of AQR’s systematic portfolios as well as for the efficient trade execution and financing of AQR’s investment strategies. The department comprises portfolio implementation, trading, and financing specialists.

Portfolio Implementation specialists work closely with multiple groups across the firm to bring to market new systematic investment strategies and refine existing ones, across a broad range of investment mandates and across global markets. The Portfolio Implementation team, together with the researchers, shares the responsibility over the investment and risk management of AQR’s portfolios, in a collaborative and intellectually stimulating environment.

Your Role

A successful Portfolio Implementation Analyst will become intimately familiar with global financial markets, financial economics, asset management, quantitative investing and AQR’s investment philosophy. This role offers the opportunity to work with senior investment professionals within the firm and exposes the candidate to all aspects of portfolio management, in particular:

  • Portfolio Construction: optimize portfolios based on model views, market frictions, and investment guidelines
  • Portfolio Implementation Research: research and improve portfolio construction and optimization techniques
  • Model Research: play an integral role in the implementation and improvement of new and existing systematic signals
  • Analytics: manipulate and analyze large datasets to identify patterns in the performance and characteristics of AQR’s portfolios

Mentorship and constructive performance review will be a focus throughout your time as you work towards earning a full-time role.

What You’ll Bring

  • December 2026 or Spring 2027 graduate in a quantitative field (e.g. Finance, Economics, Computer Science, Math, Engineering, etc.) with a desire to work in the financial services industry
  • A Bachelor's or Master's degree
  • Strong technical aptitude with demonstrated experience and knowledge of programming languages (Python, MATLAB, R) and SQL
  • Exceptional problem solving and quantitative skills (Calculus, Linear Algebra, Statistics)
  • Excellent communication skills
  • Commitment to intellectual integrity, self-drive, maturity, and ability to collaborate
  • Detail-orientation, ability to multi-task

The salary range for this role is expected to be $145,000 to $155,000. This is the range that we in good faith believe is accurate for this role at the time of this posting. We may ultimately pay more or less than the posted range, depending upon factors such as skills, experience, location, or other business and organizational needs. This wage range may also be modified in the future.


AQR is an Equal Opportunity Employer.  EEO/VET/DISABILITY

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À propos de AQR

 About AQR Capital Management

AQR is a global investment management firm built at the intersection of financial theory and practical application. We strive to deliver superior, long-term results for our clients by seeking to filter out market noise to identify and isolate what matters most, and by developing ideas that stand up to rigorous testing. Underpinning this philosophy is an unrelenting commitment to excellence in technology — powering our insights and analysis. This unique combination has made us leaders in alternative and traditional strategies since 1998.

AQR takes a systematic, research-driven approach, applying quantitative tools to process fundamental information and manage risk. Our clients include institutional investors, such as pension funds, insurance companies, endowments, foundations and sovereign wealth funds, as well as financial advisors.

AQR is an Equal Opportunity Employer.  EEO/VET/DISABILITY

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