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Quantitative Investment Strategist Jobs (NOW HIRING)

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Quantitative Investment Strategist information

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$45K

$139.9K

$177.5K

How much do quantitative investment strategist jobs pay per year?

As of Sep 4, 2026, the average yearly pay for quantitative investment strategist in the United States is $139,867.00, according to ZipRecruiter salary data. Most workers in this role earn between $121,500.00 and $157,000.00 per year, depending on experience, location, and employer.

What does a quantitative investment strategist do?

A Quantitative Investment Strategist uses mathematical models, statistical techniques, and data analysis to design and implement investment strategies. They analyze large sets of financial data to identify trends, create algorithms, and optimize portfolios for risk and return. Their work often involves collaborating with portfolio managers and traders to provide actionable insights and improve investment performance. This role requires strong analytical skills, proficiency in programming, and a deep understanding of financial markets.

What are the key skills and qualifications needed to thrive as a quantitative investment strategist?

To thrive as a Quantitative Investment Strategist, you need strong analytical skills, advanced knowledge of finance and mathematics, and typically a degree in a quantitative field such as mathematics, statistics, or engineering. Familiarity with programming languages like Python, R, or MATLAB, and experience using financial modeling tools and data analytics platforms are essential. Exceptional problem-solving, critical thinking, and communication skills help you translate complex data into effective investment strategies and collaborate with team members. These abilities are crucial for developing and implementing data-driven investment approaches that deliver consistent returns in competitive financial markets.

What are some common challenges faced by quantitative investment strategists when integrating new data sources into investment models?

Quantitative Investment Strategists often encounter challenges such as ensuring data quality, consistency, and relevance when integrating new data sources into investment models. They must validate the accuracy and completeness of the data, address issues related to data latency or frequency, and ensure it aligns with existing modeling frameworks. Collaborating closely with data engineers and IT teams is essential for seamless data integration, while maintaining robust documentation and rigorous testing helps mitigate risks of model overfitting or erroneous signals.

What is the difference between Quantitative Investment Strategist vs Quantitative Analyst?

AspectQuantitative Investment StrategistQuantitative Analyst
CredentialsAdvanced degrees in finance, mathematics, or related fields; often CFA or CQFSimilar educational background; often holds degrees in math, statistics, or finance
Work EnvironmentStrategic role involving market analysis, model development, and investment decision-makingData analysis, model testing, and supporting trading strategies
Employer & Industry UsageAsset management firms, hedge funds, investment banksQuantitative research teams, trading desks, financial institutions

The main difference is that Quantitative Investment Strategists focus on developing investment strategies and making high-level decisions, while Quantitative Analysts primarily analyze data and build models to support those strategies. Both roles require strong quantitative skills and often overlap, but strategists are more involved in strategic planning and market outlooks.

What is a quantitative investment strategy?

A quantitative investment strategist develops and implements investment strategies based on mathematical models, statistical analysis, and data-driven algorithms. They often use programming tools and financial data to identify trading opportunities and manage risk in investment portfolios.
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What cities are hiring for Quantitative Investment Strategist jobs?

Cities with the most Quantitative Investment Strategist job openings:

What states have the most Quantitative Investment Strategist jobs?

States with the most job openings for Quantitative Investment Strategist jobs include:

Infographic showing various Quantitative Investment Strategist job openings in the United States as of August 2026, with employment types broken down into 91% Full Time, 7% Part Time, and 2% Contract. Highlights an 85% Physical, 6% Hybrid, and 9% Remote job distribution, with an average salary of $139,867 per year, or $67.2 per hour.

Fixed Income Investment Strategist (New York)

Socket.dev

Manhattan, NY • On-site

$133K - $173K/yr

Full-time

This job post has expired today. Applications are no longer accepted.


Job description

Your Team Responsibilities

We are seeking a highly analytical and market-focused Fixed Income Investment Strategist & Researcher to support investment decision-making through macroeconomic analysis, fixed income market research, portfolio strategy development, and quantitative insights. This role bridges investment research and portfolio strategy by identifying market opportunities, evaluating risks, and developing actionable investment recommendations across global fixed income markets.

The ideal candidate has a strong understanding of interest rate markets, credit analysis, macroeconomics, and fixed income portfolio construction, along with the ability to communicate complex investment ideas to portfolio managers, clients, and senior leadership.

Your Key ResponsibilitiesInvestment Strategy
  • Develop and communicate fixed income investment strategies across government bonds, corporate credit, securitized products, municipals, and emerging market debt.
  • Monitor global macroeconomic trends, central bank policy, inflation, labor markets, and geopolitical developments to assess their impact on fixed income markets.
  • Generate tactical and strategic investment recommendations based on market valuations, economic outlooks, and relative value opportunities.
  • Support portfolio positioning with duration, yield curve, sector allocation, and credit allocation recommendations.
Research & Market Analysis
  • Conduct in-depth research on interest rates, credit markets, yield curves, inflation expectations, and liquidity conditions.
  • Analyze fixed income sectors using fundamental, quantitative, and macroeconomic research methods.
  • Develop proprietary research reports, market commentaries, and investment outlook publications.
  • Evaluate historical market performance and identify emerging investment themes.
Quantitative Analysis
  • Build and maintain financial models for scenario analysis, stress testing, and risk assessment.
  • Analyze portfolio exposures, duration, convexity, spread risk, and factor sensitivities.
  • Utilize statistical and quantitative techniques to evaluate market trends and investment opportunities.
  • Support performance attribution and risk analytics.
Portfolio Support
  • Collaborate with portfolio managers to implement investment views and evaluate portfolio positioning.
  • Assist in portfolio construction and optimization using risk-return analysis.
  • Monitor portfolio performance relative to benchmarks and investment objectives.
  • Identify opportunities for portfolio enhancement while maintaining risk discipline.
Market Communication
  • Prepare investment presentations, research publications, and client-facing materials.
  • Present investment views to internal investment committees and external clients.
  • Explain complex market developments in a clear and actionable manner.
  • Contribute to thought leadership initiatives and market commentary.
Collaboration
  • Partner with economists, credit analysts, quantitative researchers, traders, and risk management teams.
  • Support product development for fixed income investment solutions.
  • Maintain awareness of regulatory developments affecting fixed income markets.
Your skills and experience that will help you excel
  • Bachelor's degree in Finance, Economics, Mathematics, Statistics, or a related quantitative field.
  • Master's degree or MBA preferred.
  • CFA designation or progress toward the CFA charter is highly desirable.
  • 5+ years of experience in fixed income research, investment strategy, portfolio management, or capital markets.
  • Strong knowledge of:
    • Interest rate markets
    • Credit markets
    • Fixed income securities and derivatives
    • Yield curve analysis
    • Duration and convexity
    • Portfolio risk management
    • Macroeconomic analysis
Technical Skills
  • Advanced proficiency in Excel and PowerPoint.
  • Experience with Bloomberg Terminal, FactSet, ICE Data Services, or similar market data platforms.
  • Familiarity with Python, R, MATLAB, SQL, or other analytical programming languages is preferred.
  • Experience with quantitative modeling and financial analytics tools.
Core Competencies
  • Strong analytical and critical thinking skills.
  • Excellent written and verbal communication abilities.
  • Ability to synthesize large volumes of market data into actionable insights.
  • High attention to detail and intellectual curiosity.
  • Strong presentation and storytelling skills.
  • Ability to work effectively in a collaborative, fast-paced investment environment.
  • Sound judgment and disciplined decision-making.
Preferred Experience
  • Experience covering global fixed income markets.
  • Knowledge of ESG integration within fixed income investing.
  • Familiarity with multi-asset investment strategies.
  • Experience supporting institutional investors, asset managers, insurance companies, pension funds, or wealth management organizations.
Success Measures

Success in this role will be measured by:

  • Quality and impact of investment recommendations.
  • Accuracy and timeliness of market research.
  • Contribution to portfolio performance and investment decision-making.
  • Effectiveness of communication with investment teams and clients.
  • Development of innovative research methodologies and strategic insights.
  • Collaboration across investment, research, and risk management functions.
About MSCI

What we offer you

  • Salary range: $248,000 - $322,000 / year plus eligible for annual bonus.
  • Transparent compensation schemes and comprehensive employee benefits, tailored to your location, ensuring your financial security, health, and overall wellbeing.
  • Flexible working arrangements, advanced technology, and collaborative workspaces.
  • A culture of high performance and innovation where we experiment with new ideas and take responsibility for achieving results.
  • A global network of talented colleagues, who inspire, support, and share their expertise to innovate and deliver for our clients.
  • Global Orientation program to kickstart your journey, followed by access to our Learning@MSCI platform, AI Learning Center , LinkedIn Learning Pro and tailored learning opportunities for ongoing skills development.
  • Multi-directional career paths that offer professional growth and development through new challenges, internal mobility and expanded roles.
  • We actively nurture an environment that builds a sense of inclusion belonging and connection, including eight Employee Resource Groups. All Abilities, Asian Support Network, Black Leadership Network, Climate Action Network, Hola! MSCI, Pride & Allies, Women in Tech, and Women’s Leadership Forum.

At MSCI we are passionate about what we do, and we are inspired by our vision – to power better decisions. You’ll be part of an industry-leading network of creative, curious, and entrepreneurial pioneers. This is a space where you can challenge yourself, set new standards and perform beyond expectations for yourself, our clients, and our industry.

MSCI strengthens global markets by connecting participants across the financial ecosystem with a common language. Our research-based data, analytics and indexes, supported by advanced technology, set standards for global investors and help our clients understand risks and opportunities so they can make better decisions and unlock innovation. We serve asset managers and owners, private-market sponsors and investors, hedge funds, wealth managers, banks, insurers and corporates.

MSCI Inc. is an equal opportunity employer. It is the policy of the firm to ensure equal employment opportunity without discrimination or harassment on the basis of race, color, religion, creed, age, sex, gender, gender identity, sexual orientation, national origin, citizenship, disability, marital and civil partnership/union status, pregnancy (including unlawful discrimination on the basis of a legally protected parental leave), veteran status, or any other characteristic protected by law. MSCI is also committed to working with and providing reasonable accommodations to individuals with disabilities. If you are an individual with a disability and would like to request a reasonable accommodation for any part of the application process, please email Disability.Assistance@msci.com and indicate the specifics of the assistance needed. Please note, this e-mail is intended only for individuals who are requesting a reasonable workplace accommodation; it is not intended for other inquiries.

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