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Point One - Hedge Fund Talent

Volatility Portfolio Manager

London
Posted about 17 hours ago
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A leading multi-billion-dollar multi-strategy investment platform is seeking exceptional Volatility Portfolio Managers to join its growing global business. The firm has made a substantial long-term commitment to options and volatility investing, providing market-leading infrastructure, technology, data, execution capabilities, and capital allocation to support high-performing teams across the volatility spectrum.

We are interested in speaking with established Portfolio Managers running differentiated volatility strategies, including:

  • Equity Volatility
  • Index Volatility
  • Dispersion
  • Systematic Volatility
  • Multi-Asset Volatility
  • Relative Value Volatility
  • Event-Driven Volatility
  • Cross-Asset Derivatives Strategies

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I’m in my final year doing Economics and I don’t know whether to apply for grad schemes now or do a masters first. What do you think?

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Also worth knowing: most autumn 2026 applications are open now. Timing matters more than you think.

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Graduate Consultant — 2026 Scheme

PwC·London, UK
£35,000/yr

Why you're a good match

Strong

Your economics background and your summer at a regional bank line up with what PwC looks for on the consulting scheme. Applications close in four weeks.

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Why you're a good match

You’ve got the grades and the economics background, and your bank internship is exactly the experience this scheme looks for. Apply soon — deadlines close within the month.

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Strong

Experience fit

Your summer at the bank plus your econometrics coursework map directly to the day-one responsibilities on this scheme — client modelling, market briefings, and deal support.

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This is an opportunity to join a platform that combines institutional scale with an entrepreneurial culture, offering significant autonomy, deep operational support, and the resources required to build and scale a world-class volatility franchise.

What the Platform Offers

  • Industry-leading infrastructure dedicated to options and volatility trading
  • Significant capital allocations for proven strategies
  • Competitive economics with PnL participation of 20%+
  • Budget to hire, develop and retain high-performing teams
  • Dedicated support across technology, quantitative research, risk, operations, and execution
  • Global flexibility, including opportunities to be based in tax-efficient jurisdictions such as Dubai
  • A collaborative environment alongside some of the industry's most successful portfolio managers

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Requirements

Successful candidates will typically demonstrate:

  • A proven track record managing volatility-focused investment strategies
  • Sharpe Ratio greater than 1.5 over a meaningful period
  • Annual PnL generation of at least $20 million
  • Strong risk management discipline and capital preservation mindset
  • The ability to operate independently while contributing to a broader platform environment
  • Experience managing institutional-scale risk and capital

For more information please contact: thomas@pointonetalent.com

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Skills

Volatility Trading
Options Trading
Risk Management
Capital Allocation
Equity Volatility
Index Volatility
Dispersion Trading
Systematic Volatility
Multi-Asset Volatility
Relative Value Volatility
Event-Driven Volatility
Cross-Asset Derivatives

Location

London, England, United Kingdom

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