PIMCO manages >$400Bn in affiliated financial institutions assets and >$100Bn in unaffiliated ... Utilize quantitative techniques to optimize portfolio construction and enhance alpha generation ...
PIMCO manages >$400Bn in affiliated financial institutions assets and >$100Bn in unaffiliated ... Utilize quantitative techniques to optimize portfolio construction and enhance alpha generation ...
Assistant Portfolio Manager
Goshen, IN · On-site
POSITION SUMMARY Supports the Equity Portfolio Manager with equity index portfolio management and assists the Fixed Income Portfolio Managers through credit research and quantitative analysis. This ...
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Assistant Portfolio Manager
Goshen, IN · On-site
POSITION SUMMARY Supports the Equity Portfolio Manager with equity index portfolio management and assists the Fixed Income Portfolio Managers through credit research and quantitative analysis. This ...
Associate Portfolio Manager / Portfolio Manager
Seattle, WA · On-site
$100K - $140K/yr
Joining our Overlay Solutions Portfolio Management team means you will be part of a passionate and ... Strong quantitative and analytical skills. * Proficiency with investment and analytics tools such ...
Associate Portfolio Manager / Portfolio Manager
Seattle, WA · On-site
$100K - $140K/yr
Joining our Overlay Solutions Portfolio Management team means you will be part of a passionate and ... Strong quantitative and analytical skills. * Proficiency with investment and analytics tools such ...
Portfolio Manager
Irvine, CA · On-site
$80K - $100K/yr
Responsible for underwriting, reviewing, and managing assigned loan portfolio while providing ... Determine appropriate risk rating, both qualitative and quantitative based on performance during ...
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Portfolio Manager
Irvine, CA · On-site
$80K - $100K/yr
Responsible for underwriting, reviewing, and managing assigned loan portfolio while providing ... Determine appropriate risk rating, both qualitative and quantitative based on performance during ...
Associate Portfolio Manager / Portfolio Manager
$100K - $140K/yr
Joining our Overlay Solutions Portfolio Management team means you will be part of a passionate and ... Strong quantitative and analytical skills. * Proficiency with investment and analytics tools such ...
Associate Portfolio Manager / Portfolio Manager
$100K - $140K/yr
Joining our Overlay Solutions Portfolio Management team means you will be part of a passionate and ... Strong quantitative and analytical skills. * Proficiency with investment and analytics tools such ...
Associate Portfolio Manager / Portfolio Manager
$100K - $140K/yr
Joining our Overlay Solutions Portfolio Management team means you will be part of a passionate and ... Strong quantitative and analytical skills. * Proficiency with investment and analytics tools such ...
Associate Portfolio Manager / Portfolio Manager
$100K - $140K/yr
Joining our Overlay Solutions Portfolio Management team means you will be part of a passionate and ... Strong quantitative and analytical skills. * Proficiency with investment and analytics tools such ...
... Quant) group, as part of the Portfolio Research Group.The Portfolio Research Group seeks to enhance portfolio risk-adjusted returns by applying quantitative methods to: (a) advise portfolio managers ...
... Quant) group, as part of the Portfolio Research Group.The Portfolio Research Group seeks to enhance portfolio risk-adjusted returns by applying quantitative methods to: (a) advise portfolio managers ...
Portfolio Manager
New York, NY · On-site
Atto Trading is a quantitative trading firm operating a portfolio of signal-driven high-frequency ... Manage all aspects of developing and managing the strategies, given the firm-provided platform and ...
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Portfolio Manager
New York, NY · On-site
Atto Trading is a quantitative trading firm operating a portfolio of signal-driven high-frequency ... Manage all aspects of developing and managing the strategies, given the firm-provided platform and ...
Portfolio Manager
Miami, FL · On-site
Atto Trading is a quantitative trading firm operating a portfolio of signal-driven high-frequency ... Manage all aspects of developing and managing the strategies, given the firm-provided platform and ...
Portfolio Manager
Miami, FL · On-site
Atto Trading is a quantitative trading firm operating a portfolio of signal-driven high-frequency ... Manage all aspects of developing and managing the strategies, given the firm-provided platform and ...
Portfolio Manager
Miami, FL · On-site
Atto Trading is a quantitative trading firm operating a portfolio of signal-driven high-frequency ... Manage all aspects of developing and managing the strategies, given the firm-provided platform and ...
Portfolio Manager
Miami, FL · On-site
Atto Trading is a quantitative trading firm operating a portfolio of signal-driven high-frequency ... Manage all aspects of developing and managing the strategies, given the firm-provided platform and ...
Atto Trading is a quantitative trading firm operating a portfolio of signal-driven high-frequency ... Manage all aspects of developing and managing the strategies, given the firm-provided platform and ...
Quick apply
Atto Trading is a quantitative trading firm operating a portfolio of signal-driven high-frequency ... Manage all aspects of developing and managing the strategies, given the firm-provided platform and ...
ROLE * Dynamically managing portfolio risk by evaluating historical and real-time strategy ... Designing and developing quantitative mathematical algorithms to link the diverse data sets from ...
ROLE * Dynamically managing portfolio risk by evaluating historical and real-time strategy ... Designing and developing quantitative mathematical algorithms to link the diverse data sets from ...
Cubist Portfolio Manager
New York, NY · On-site
ROLE * Dynamically managing portfolio risk by evaluating historical and real-time strategy ... Designing and developing quantitative mathematical algorithms to link the diverse data sets from ...
Cubist Portfolio Manager
New York, NY · On-site
ROLE * Dynamically managing portfolio risk by evaluating historical and real-time strategy ... Designing and developing quantitative mathematical algorithms to link the diverse data sets from ...
Portfolio Manager
Los Angeles, CA · On-site
Portfolio Manager Position Overview A large and rapidly growing wealth management firm with ... Apply quantitative techniques and models, coupled with specific market knowledge, to manager ...
Portfolio Manager
Los Angeles, CA · On-site
Portfolio Manager Position Overview A large and rapidly growing wealth management firm with ... Apply quantitative techniques and models, coupled with specific market knowledge, to manager ...
Portfolio Manager
Austin, TX · Hybrid
About this PositionThe Portfolio Manager supports the Investments department in managing the ... quantitative analysis. Monitor and forecast commitment pacing, NAV, and risk limits against ...
Portfolio Manager
Austin, TX · Hybrid
About this PositionThe Portfolio Manager supports the Investments department in managing the ... quantitative analysis. Monitor and forecast commitment pacing, NAV, and risk limits against ...
Portfolio Manager
Austin, TX · On-site
About this Position The Portfolio Manager supports the Investments department in managing the ... quantitative analysis. Monitor and forecast commitment pacing, NAV, and risk limits against ...
Portfolio Manager
Austin, TX · On-site
About this Position The Portfolio Manager supports the Investments department in managing the ... quantitative analysis. Monitor and forecast commitment pacing, NAV, and risk limits against ...
Portfolio Manager - Prediction Markets About Moreton Capital Partners Moreton Capital Partners (MCP ... We combine quantitative modelling, agentic AI, and deep domain expertise to build strategies with ...
Portfolio Manager - Prediction Markets About Moreton Capital Partners Moreton Capital Partners (MCP ... We combine quantitative modelling, agentic AI, and deep domain expertise to build strategies with ...
* Crypto Portfolio Manager | Senior Crypto Quant Trader * Cryptocurrency trading | Digital Assets | CeFi | Systematic Trading * NYC or US based (remote) A stealth mode systematic crypto trading firm is ...
* Crypto Portfolio Manager | Senior Crypto Quant Trader * Cryptocurrency trading | Digital Assets | CeFi | Systematic Trading * NYC or US based (remote) A stealth mode systematic crypto trading firm is ...
Key Responsibilities: • Use quantitative risk models and optimization programs to analyze and manage direct indexing equity portfolios • Rebalance portfolios according to various client tax ...
Key Responsibilities: • Use quantitative risk models and optimization programs to analyze and manage direct indexing equity portfolios • Rebalance portfolios according to various client tax ...
Manages the product life cycle of assigned portfolio which includes defining a product strategy and ... related quantitative field. Equal Opportunity Employer Globe's hiring process promotes equal ...
Manages the product life cycle of assigned portfolio which includes defining a product strategy and ... related quantitative field. Equal Opportunity Employer Globe's hiring process promotes equal ...
Quant Portfolio Manager information
See salary details
$37K - $50.7K
9% of jobs
$50.7K - $64.4K
15% of jobs
$65.8K is the 25th percentile. Wages below this are outliers.
$64.4K - $78K
15% of jobs
The median wage is $88.8K / yr.
$78K - $91.7K
15% of jobs
$91.7K - $105.4K
10% of jobs
$105.4K - $119.1K
9% of jobs
$123.9K is the 75th percentile. Wages above this are outliers.
$119.1K - $132.8K
11% of jobs
$132.8K - $146.5K
10% of jobs
$146.5K - $160.1K
5% of jobs
$160.1K - $173.8K
2% of jobs
$173.8K - $187.5K
1% of jobs
$37K
$100.5K
$187.5K
How much do quant portfolio manager jobs pay per year?
What is the difference between Quant Portfolio Manager vs Quant Analyst?
| Aspect | Quant Portfolio Manager | Quant Analyst |
|---|---|---|
| Primary Role | Oversees investment strategies, manages portfolios, makes high-level trading decisions | Develops models, analyzes data, supports trading strategies |
| Required Credentials | Advanced degrees (MSc/PhD), CFA often preferred | Degree in finance, mathematics, or related fields; certifications like CFA beneficial |
| Work Environment | Asset management firms, hedge funds, investment banks | Quantitative research teams, trading desks, financial institutions |
| Focus | Portfolio performance, risk management, strategic decision-making | Model development, data analysis, algorithm creation |
While both roles require strong quantitative skills and relevant credentials, the Quant Portfolio Manager focuses on managing investment portfolios and making strategic decisions, whereas the Quant Analyst primarily develops models and analyzes data to support trading strategies. The roles often collaborate but differ in scope and responsibilities.
How does a quant portfolio manager typically collaborate with research and trading teams to implement investment strategies?
What is a quant portfolio manager?
What are the key skills and qualifications needed to thrive as a quant portfolio manager, and why are they important?

Full-time
Medical, Dental, Vision, Retirement
Re-posted 8 days ago
Job description
Since 1971, our people have shaped our organization through a high-performance inclusive culture, in which we celebrate diverse thinking. We invest in our people and strive to imprint our CORE values of Collaboration, Openness, Responsibility and Excellence. We believe each of us is here to help others succeed and this has led to PIMCO being recognized as an innovator, industry thought leader and trusted advisor to our clients.
FINANCIAL INSTITUIONS AT PIMCO
The FIG PM team reports to the Global CIOs and is responsible for ensuring our overall portfolio aligns with firm strategy. The FIG PM team is dedicated to covering insurance companies and banks and has direct accountability for the portfolios they manage. While FIG mandates may include constraints that restrict sectors and tools to implement themes, our portfolio managers use their expertise to ensure that themes are aligned with the firm's outlook.
- The FIG PM team is structured in a hub and spoke manner. As generalists, they partner heavily with specialist portfolio managers for sector insight. This structure leverages the resources of PIMCO's extensive portfolio management capabilities to the benefit of our insurance clients. It allows FIG PMs to use specialists across the firm (e.g., corporate desk, ABS desk) to source individual positions while retaining responsibility for risk across the overall portfolio.
PIMCO manages >$400Bn in affiliated financial institutions assets and >$100Bn in unaffiliated global insurance assets.
JOB DESCRIPTION
We are seeking a hybrid role that will combine the expertise of a Portfolio Manager with strong quantitative skills in Optimization to support our Financial Institutions team at PIMCO in New York. This position will focus on managing investment portfolios for FIG clients while leveraging quantitative techniques to optimize risk-adjusted returns, both accounting returns (e.g., book yield and net interest income optimization) and economic returns (e.g., total return alpha, security rich/cheap analysis, sector relative value, etc.). The ideal candidate will possess a deep understanding of the insurance sector, fixed income / bond markets, along with exceptional communication and presentation skills to engage effectively with internal stakeholders and clients.
RESPONSIBILITIES
- Manage investment portfolios for insurance clients in a risk-aware manner, ensuring alignment with PIMCO's broader investment strategies.
- Collaborate with other Portfolio Managers to develop and implement investment strategies that reflect the unique needs of FIG clients.
- Utilize quantitative techniques to optimize portfolio construction and enhance alpha generation through systematic frameworks.
- Partner with credit research, quants and trading teams to source bonds and implement quantitative signals for portfolio management.
- Conduct independent analysis and research to contribute to the broader PIMCO investment process, providing relevant market insights.
- Engage with high-profile clients, handling credit discussions and presenting investment strategies and performance updates.
- Support business growth by collaborating with account managers on new business initiatives, RFPs, and client presentations.
- Ensure compliance with regulatory guidelines and account restrictions in collaboration with compliance officers and account managers.
REQUIREMENTS
- 5+ years of experience in fixed income investment management, with a focus on the Financial Institutions/Insurance sector. Actuarial background preferred.
- Excellent verbal and written communication skills, with the ability to articulate complex concepts to diverse audiences. You must be excited to present and engage with senior internal and external stakeholders / clients.
- Strong quantitative skills, including experience in optimization and econometric/statistical modeling.
- Proficiency in Python programming and familiarity with non-traditional modeling techniques (e.g., machine learning) is a plus.
- Excellent analytical skills with a strong attention to detail and a results-driven mindset.
- A Master's or PhD in a STEM subject or a related field is preferred. Actuarial designations are a plus.
- A collaborative mindset with the ability to work effectively across teams, including Portfolio Managers, Traders, and Credit Research Analysts.
- A strong work ethic, integrity, and the ability to remain composed in dynamic market conditions.
BENEFITS
- PIMCO is committed to offering a comprehensive portfolio of employee benefits designed to support the health and wellbeing of you and your family. These benefits include medical, dental and vision coverage from your first day of employment.
- 401k Savings and Retirement Plan
- Work/Life Programs such as Flexible Work Arrangements, Parental Leave & Support, Employee Assistance Plan, and Educational/CFA Certification Reimbursement Programs.
- Community involvement opportunities with The PIMCO Foundation in each PIMCO office.
PIMCO follows a total compensation approach when rewarding employees which includes a base salary and a discretionary bonus. Base salary is the fixed component of compensation that is determined by core job responsibilities, relevant experience, internal level, and market factors. The discretionary bonus is used to award performance and therefore is determined by company, business, team, and individual performance.
Salary Range: $ 205,000.00 - $ 305,000.00
Equal Employment Opportunity and Affirmative Action Statement
PIMCO recruits and hires qualified candidates without regard to race, national origin, ancestry, religion (including religious dress and grooming practices), sex (including pregnancy, childbirth, breastfeeding, or related medical conditions), sexual orientation, gender (including gender identity and expression), age, military or veteran status, disability (physical or mental), any factor prohibited by law, and as such affirms in policy and practice to support and promote the concept of equal employment opportunity and affirmative action, in accordance with all applicable federal, state, provincial and municipal laws. The company also prohibits discrimination on other basis such as medical condition, or marital status under applicable laws.
Applicants with Disabilities
PIMCO is an Equal Employment Opportunity/Affirmative Action employer. We provide reasonable accommodation for qualified individuals with disabilities, including veterans, in job application procedures. If you have any difficulty using our online system due to a disability and you would like to request an accommodation, you may contact us at 949-720-7744 and leave a message. This is a dedicated line designed exclusively to assist job seekers with disabilities to apply online. Only messages left for this purpose will be considered. A response to your request may take up to two business days.
About PIMCO
Sourced by ZipRecruiter
Industry
Finance and insurance
Company size
1,001 - 5,000 Employees
Headquarters location
Newport Beach, CA, US
Year founded
1971