Asset Management, Highbridge, Cross Capital Structure Trader
Highbridge Capital Management, LLC, founded in 1992, is a global alternative asset management firm.
Over the years, it has developed a diversified investment platform that includes hedge funds, co-investment vehicles, and committed, closed-end vehicles designed for longer-term holding periods.
Highbridge distinguishes itself as a credit and volatility-focused franchise, with the flexibility to invest opportunistically across the capital structure and liquidity spectrum.
Currently managing over $4 billion in capital, the firm strives to generate attractive risk-adjusted returns for a financially sophisticated clientele, including institutional investors, public and corporate pension funds, sovereign wealth funds, endowments, foundations, and family offices.
Based in New York, Highbridge also operates an office in London.
As a Vice President within Highbridge Capital Management, you will partner closely with Co-Chief Investment Officers in shaping a new Cross Capital Structure investment strategy.
This crucial role will focus on trading corporate credit, credit derivatives, interest rate derivatives, equities, and equity derivatives for one of the co-CIOs.
Highbridge aims to systematically develop and implement innovative strategies that target cross-capital structure dislocations at the single-name level and cross-asset relationships at the macro level within its flagship hedge fund.
This role offers substantial growth opportunities for the right candidate, who will leverage their knowledge of derivatives, appreciation for quantitative methods, and trading acumen to enhance the firm's existing hedging strategies and investment processes.
At the same time, the successful candidate will oversee trading for a new strategy, collaborating closely with the CIOs, CRO, and the risk, portfolio construction, and technology teams to design and refine a systematic investment approach.
Job Responsibilities:
The Vice President will play a critical role in overseeing the firm's Cross Capital Structure investment strategy.
Key responsibilities include, but are not limited to:
* Portfolio Management: Implement the investment process and execute trades to achieve high risk-adjusted returns.
* Strategy Development: Work closely with the CIOs and the risk and portfolio construction team to standardized procedures and methodologies for the investment process.
* Risk Management: Identify, assess, and manage risks, ensuring that the firm's risk models accurately capture the portfolio's inherent risks.
* Counterparty Interaction: Build and maintain relationships with credit, credit derivative, and equity volatility trading desks to gather and filter their cross-asset and macro research and ideas, enhancing our internal investment process Performance Monitoring and Communication: Provide daily updates and participate in weekly meetings to discuss the strategy's developments and risk profile with the CIOs.
* Continuous Enhancement: Collaborat...
- Rate: Not Specified
- Location: New York, US-NY
- Type: Permanent
- Industry: Finance
- Recruiter: JPMorgan Chase Bank, N.A.
- Contact: Not Specified
- Email: to view click here
- Reference: 210628612
- Posted: 2025-06-20 08:53:59 -
- View all Jobs from JPMorgan Chase Bank, N.A.
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