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Quantitative Analyst, Multi-Asset in Los Angeles, CA

The Capital Group Companies, Inc

Los Angeles, CA 90001
2w ago


$80K - $100K*


Corporate Finance, Risk & Quantitative Analysis


5 - 7 years

Job Description

You will bring demonstrated industry experience and deep applied domain expertise in multi-asset portfolio research, active asset allocation strategy, quantitative portfolio construction and cross-asset risk modeling methods; and will contribute to developing a well-established research and engagement process. This role relies on significant intellectual, technical and communication experience to provide meaningful impact on investment outcomes.

You will be a trusted source of quantitatively-driven multi-asset investment insight with an "objective voice" in the fundamental investment process, as you develop and nurture relationships across Capital Group's multiple investment units to build credibility and an audience for our multi-asset research output and insights. You will solicit differing views and will be willing to change your mind as you learn more. Your research output is exemplary and u

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Valid through: 2020-4-8

About The Capital Group Companies, Inc.

Capital Group is an American financial services company, it ranks among the world’s oldest and largest investment management organizations, with $1.39 trillion in assets under management. Founded in Los Angeles, California in 1931, it is privately held and has offices around the globe in the Americas, Asia, Australia and Europe. Capital offers a range of products, including more than 40 mutual funds through its subsidiary, American Funds, as well as separately managed accounts (or collective investment trusts), private equity, investment services for high net worth investors in the U.S., and a range of other offerings for institutional clients and individual investors globally. investment philosophy, based on active portfolio management and in-house research to drive long-term investment results, has been consistent since the company was founded.[citation needed] The firm is known for its long-term focus and research-based approach and maintains a large in-house research team that develops proprietary insights into investment decisions.[citation needed] The Capital Group companies manage equity assets through three investment groups that make investment and proxy voting decisions independently.[citation needed] In 1931, Jonathan Bell Lovelace founded the investment firm, Lovelace, Dennis & Renfrew, which would eventually become Capital Group. Lovelace had previously been a partner in the stock brokerage firm E.E. MacCrone, where he explored the concept of developing an open-end mutual fund. He eventually sold his stake in that company, just prior to the Wall Street Crash of 1929.
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