Senior Investment Strategist (m/f/d) (two positions) in Alternative Assets & Cross Asset Analysis
Allianz Investment Management (AIM) is the internal investment manager of the Allianz Group, responsible for managing the risk/return profile of its approx. € 700 bn investment portfolio. We develop, manage and implement the investment strategy for Allianz’s policyholders worldwide - sustainably and responsibly. Our global network of more than 500 employees from over 60 countries is organized in regional hubs located in Munich/Stuttgart, Milan, Minneapolis, Paris, and Singapore. It offers multifaceted career opportunities for outstanding investment talents.
AIM provides the perfect opportunity to embark on or continue your international career. AIM continues to grow and supports its employees to do the same. We believe that work should be rewarding, and that good work should be rewarded. We offer opportunities and strive for excellence. And our actions are guided first and foremost by high ethical standards and our sense of commitment to society.
Job purpose/role
Are you passionate about investments and interested in shaping the investment strategy of Allianz's portfolios?
Join our investment strategy team, responsible for designing and implementing investment strategies for insurance portfolios, in collaboration with the global AIM network and asset managers.
You will focus on shaping the investment strategy for Alternative Assets (including Private Equity, Private Debt and Real Estate) or drive cross asset analysis between liquid and alternative asset classes, contributing to superior investment results for our clients. This is an exciting opportunity to become part of an international team managing a global portfolio with plenty of opportunities to learn and develop.
Key responsibilities
* Conduct in-depth analyses of alternative asset markets or comparisons of asset classes to identify investment opportunities
* Develop asset class perspectives, including return and risk premium assessments, through analysis and collaboration with other investment teams
* Align asset class implications with Allianz's economic outlook and scenario planning
* Build a knowledge platform, integrating data, models, news, asset manager relationships, and internal expertise
* Prepare and deliver regular investment recommendations to committees and internal stakeholders
* Collaborate with Allianz investing entities and group stakeholders for informed decision-making regarding alternative assets
Key requirements/skills/experience
* 5+ years of investment experience, preferably across asset classes or with alternative assets
* Strong analytical skills and tools (MS Office, especially excellent Excel knowledge, Bloomberg, Refinitv, Eviews, VBA…), supported by curiosity and critical thinking
* Independent yet collaborative working style to meet common goals and tight deadlines
66300 | Asset & Investment Management | Professional | PG13 | Allianz Investment Management | Full-Time | Permanent
Allianz Group is one of the most trusted insurance and asset management companies in the world. Caring for our employees, their ambitions, dreams and challenges, is what makes us a unique employer. Together we can build an environment where everyone feels empowered and has the confidence to explore, to grow and to shape a better future for our customers and the world around us.
We at Allianz believe in a diverse and inclusive workforce and are proud to be an equal opportunity employer. We encourage you to bring your whole self to work, no matter where you are from, what you look like, who you love or what you believe in.
We therefore welcome applications regardless of ethnicity or cultural background, age, gender, nationality, religion, disability or sexual orientation.
Great to have you on board. Let's care for tomorrow.