Role: Equity Portfolio Manager Global Macro Fund
Location: London (Office-Based or Hybrid)
Salary: £160,000 £210,000 + Upside Bonus
Multi-Strategy Hedge Fund | Global Equities Focus | PnL-Driven Culture | Exceptional Infrastructure
Join a top-tier macro hedge fund with global reach and over $50B in assets under management. The firm is known for empowering independent thinkers, supporting PMs with deep research resources, and rewarding alpha generation. Theyre now expanding their equity division and are hiring an experienced Portfolio Manager with a proven record of strong, risk-adjusted returns.
Youll be backed by dedicated quant teams, a world-class execution desk, and extensive datasets but retain full autonomy to run your strategy.
This is a performance-first culture built for experienced PMs ready to scale.
Key Responsibilities Include:
Take full ownership of a discretionary equities book, managing £500M+ AUM
Drive consistent, high-quality returns with a Sharpe ratio >1.8
Work with in-house analysts and quants to refine strategies
Contribute to internal research and global macro views where applicable
What Were Looking For:
3+ years running a live equities portfolio with consistent PnL
Strong understanding of global equity markets and risk frameworks
Evidence of 15M25M+ annual returns in previous books
Institutional background preferred (hedge fund, buy-side, etc.)
Exclusive Benefits:
£160K£210K base + high-performance bonus structure
Fully funded trading infrastructure + execution team
International office relocation available (NY, Singapore, Dubai)
Direct route to Partner status for top performers
If you're a results-driven PM ready to elevate your platform and grow under one of the worlds sharpest investment firms click APPLY NOW with your full CV and performance summary.
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