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AAA Rated Industrials   (5 year) - 5.22
AAA Rated Industrials (10 year) - 5.36
AAA Rated Industrials (15 year) - 5.46
AAA Rated Industrials (20 year) - 5.54
AAA Rated Industrials (25 year) - 5.60

BBB Rated Industrials   (5 year) - 5.82
BBB Rated Industrials (10 year) - 6.24
BBB Rated Industrials (15 year) - 6.50
BBB Rated Industrials (20 year) - 6.69

Income Security Dividends

Security Amount Ex-Div Date
ALBMP $0.40   Sep 12
BSC PRX $0.49   Jul 30
CPNO $0.56 IAD increased from 0.5300 to 0.5600   Jul 30
CQP $0.42   Jul 30
DORLM $2.97   Aug 27
GNWTP $0.66   Aug 13
KGS $0.35 IAD increased from 0.3150 to 0.3500   Jul 29
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ZIONS DIRECT - Bonds for Less
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Researchers & Portfolio Managers, San Francisco, CA, 94105
Researchers & Portfolio Managers
Location:   San Francisco, CA, 94105  
Compensation:   DOE  
Years Experience:   1-3 yrs  
Position Type:   Employee  
Employment type:   Full time  
Updated:   11 Jul 2008  
eFC Ref no:   388458  
 
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BGI is looking for Researchers and Portfolio Managers for a variety of positions.

The following groups are hiring Researchers and Portfolio Managers:

  • Fixed Income
  • Active Equity
  • Global Market Strategies Group
  • Global Index Markets Group
  • Emerging Markets
  • Strategic Solutions Group
  • International Active Equity

    The investment teams are a mix of researchers and portfolio managers sharing their passion for empirical finance. Their numbers include former academics and PhDs in finance, economics, and other quantitative disciplines. This provides a vibrant environment for productive research and a collegiate atmosphere suitable for cross fertilization of ideas between individuals and across groups within the firm. The role requires staying in touch with state of the art developments in financial research by attending various academic and practitioner conferences.

    Responsibilities

  • Combine fundamental analysis skills and investment insight with disciplined quantitative modeling skills to support the continuing development of the strategies.
  • Contribute investment ideas – drivers of asset returns, optimal portfolio construction, efficient acquisition of market exposure.
  • Daily fund management responsibilities, including: portfolio re-balancing, submitting trade lists, performance attribution, regular performance commentaries, and daily monitoring of portfolio positions.
  • Regular evaluation of portfolio construction design including backtesting as well as transaction cost and risk model evaluation.
  • Regular evaluation of signal and model performance as well as portfolio management decision performance.

    Qualifications

  • Ph.D. in Finance, Economics, Accounting, or a quantitative discipline strongly preferred.
  • Strong quantitative finance background, including familiarity with modeling techniques, portfolio construction methodology as well as forecasting and statistical analysis methodology.
  • Experience and demonstrated skill in fundamental analysis and financial statement analysis.
  • Basic programming skills (i.e. Java or C++) as well as familiarity with statistical analysis software (i.e. SAS, Matlab, Splus) in order to handle the analysis of large data sets.

    Please upload a Word or PDF resume to the following URL:

    https://barclays.recruitmax.com/main/careerportal/candidate_update.cfm?szOrderID=3100

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    Barclays Global Investors (US)

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    Recruiter Ref:
    JO-3100

    All jobs from
    Barclays Global Investors (US)

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