Data science techniques, Data Visualization, Git, Machine learning techniques, Microsoft-Excel, PowerBI, Python Programming, R Programming
Develops and maintains global quantitative stock selection models. Develops and improves existing signal evaluations, portfolio construction, and back-tests infrastructure that enhances the investment process. Researches and performs infrastructure development using Python and R. Develops Machine Learning (ML) models by combining data sources. Conducts statistical research to develop new investment products — ESG managed accounts. Transitions existing R code to Python. Updates and enhances social media dashboards and analytics for Equity and High-Income research teams using Tableau. Estimates state sales tax receipts by studying credit card spending data.
Primary Responsibilities:
Education and Experience:
Master’s degree (or foreign education equivalent) in Accounting, Economics, Finance, Financial Mathematics, Statistics, Mathematics, Financial Engineering, or a closely related field and no experience.
Skills and Knowledge:
Candidate must also possess:
Fidelity Investments Inc., commonly referred to as Fidelity, earlier as Fidelity Management & Research or FMR, is an American multinational financial services corporation based in Boston, Massachusetts.
Jersey City, NJ, USA
10-12 year
Smithfield, RI, USA
10-12 year
Boston, MA, USA
6-8 year
Smithfield, RI, USA
6-8 year
Boston, MA, USA
6-8 year
Jersey City, NJ, USA
6-8 year