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What You’ll Do:
- Evaluate asset allocation strategies and portfolio construction logic
- Review risk management approaches and diversification frameworks
- Summarize reasoning behind buy/hold/sell decisions
Must-Have:
- Experience in portfolio management, investment research, or wealth management
- Strong understanding of asset classes, diversification, and risk metrics
- Clear and organized analytical writing
Nice-to-Have:
- Familiarity with institutional portfolio frameworks
Alignerr
Alignerr collaborates with leading AI research teams to evaluate investment workflows, allocation decisions, and portfolio management reasoning. Unfortunately, information about company size and culture is not available in the job posting.