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Morningstar

Senior Quantitative Analyst, New Product Development

Posted Yesterday
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Hybrid
London, Greater London, England
Senior level
Hybrid
London, Greater London, England
Senior level
Join the Indexes New Product Development team to design, develop, validate, and launch thematic and smart-beta indexes. Collaborate with research and product teams, build portfolio construction and analytics tools using statistical and machine learning methods, explore AI implementations, and produce white papers, factsheets, and client-facing materials to support product launches.
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Morningstar Indexes Team leverages its expertise in equity research, manager research, bond research, private markets, asset allocation, and portfolio construction to create innovative investment solutions. It uses Morningstar’s intellectual property to create indexes that empower investors to achieve their goals at every stage of the investment process - market monitoring, benchmarking, and asset allocation. The unit offers a broad suite of global equity, bond, private and asset allocation indexes.

The Role

As a part of the Indexes New Product Development Team, you will participate in the full development cycle including ideation, design, development, presentations to global research team and clients, leading up to implementation. The ideal candidate will have a good grasp of investment concepts, possess strong analytical skills, good communication skills. Technical proficiency with at least one programming language (Python, R or MATLAB) in addition to SQL is desirable. This position is based in our London office.

Responsibilities

The successful candidate will

· Collaborate effectively with Morningstar research organization including equity, quantitative, manager, private markets or sustainability research teams, and product management to develop novel thematic and smart beta indexes that leverage Morningstar IP.

· Work on the entire product development lifecycle from ideation, design, development, and validation, leading up to launch.

· Work closely with other index teams to operationalize index methodologies.

· Develop new tools and capabilities to perform portfolio construction or analytics independently, including the use of statistical and machine learning techniques

· Explore AI implementation for research and portfolio analysis

· Publish white papers, factsheets, client presentations, and other collateral to support go-to-market plans.

Requirements

• Up to 2 years of experience.

• Bachelor’s degree in a quantitative, financial discipline, or engineering.

• MBA from a premier institute is preferred.

• CFA charter or candidature (at least passed Level I) is preferred.

• Hands on experience with creating Strategic Beta (Factor), ESG Indexes or similar rules-based quantitative investment strategies is preferred.

• Knowledge of institutional investing, modern portfolio theory, and portfolio construction processes.

• Excellent documentation habits, oral and written communication and presentation skills including ability to distil complex ideas into simple explanations.

Base Salary Compensation RangeGBP 71,500.00-100,100.00

Bonus Target:

12.5% Annual

We expect the compensation and target bonus for this role to fall within the stated range. The specific compensation offered will depend on the candidate’s qualifications, experience, and other job-related factors.

Morningstar's hybrid work environment gives you the opportunity to collaborate in-person each week as we've found that we're at our best when we're purposely together on a regular basis. In most of our locations, our hybrid work model is four days in-office each week. A range of other benefits are also available to enhance flexibility as needs change. No matter where you are, you'll have tools and resources to engage meaningfully with your global colleagues.

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