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Senior Quantitative Analyst, Fixed Income

Remote · Norway Full-time

Our client, a leading quantitative hedge fund, is seeking a highly skilled Senior Quantitative Analyst to join their elite team. This role is fully remote, offering the opportunity to work from anywhere within the US while contributing to sophisticated investment strategies. You will leverage advanced mathematical modeling, statistical analysis, and programming skills to develop and implement complex trading algorithms and risk management frameworks for fixed-income markets. Key Responsibilities: Design, develop, backtest, and deploy quantitative trading strategies for fixed income securities, including bonds, derivatives, and related instruments. Conduct in-depth statistical and econometric analysis of market data to identify trading opportunities and predict market movements. Build and maintain sophisticated financial models for pricing, risk assessment, and portfolio optimization. Collaborate with portfolio managers and traders to understand market dynamics and refine investment strategies. Develop robust risk management tools and techniques to monitor and control portfolio risk exposures. Write clean, efficient, and well-documented code in languages such as Python, C++, or R for strategy implementation and analysis. Analyze historical data to assess strategy performance and identify areas for improvement. Stay current with academic research and industry trends in quantitative finance and fixed income markets. Contribute to the continuous improvement of the firm's trading infrastructure and data analysis capabilities. Present research findings and strategy proposals to senior management and investment committees. Qualifications: Master's or Ph.D. in a quantitative field such as Financial Engineering, Statistics, Mathematics, Physics, or Computer Science. 5+ years of experience in quantitative analysis, algorithmic trading, or portfolio management within the fixed income space. Strong expertise in statistical modeling, time series analysis, econometrics, and machine learning techniques. Proficiency in programming languages commonly used in quantitative finance, such as Python (NumPy, Pandas, SciPy), C++, or R. Deep understanding of fixed income markets, instruments (e.g., government bonds, corporate bonds, MBS, CDS), and their associated risks. Experience with large datasets and database technologies (e.g., SQL). Excellent analytical, problem-solving, and critical thinking skills. Strong communication and presentation skills, with the ability to articulate complex quantitative concepts effectively. Demonstrated ability to work independently and as part of a high-performing, globally distributed team. This is a 100% remote position, requiring a high degree of self-discipline and autonomy. This is a unique opportunity to join a top-tier quantitative firm and make a significant impact on sophisticated fixed income investment strategies from a remote setting.

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