About the job
Maven Securities Holding Ltd is a leading proprietary trading firm established in 2011, with a global presence in major financial hubs including London, Amsterdam, Hong Kong, New York, and Sydney.
Our proprietary trading division, Maven Investment Partners, employs a diverse multi-strategy investment approach, deploying capital across a variety of investment and trading strategies. Our global team consists of over thirty highly skilled portfolio managers and analysts.
What sets Maven apart is our exclusive focus on managing our own capital through an employee-owned model. We have consistently delivered exceptional returns on equity since our inception, fostering an entrepreneurial culture that allows for flexibility in diverse investing and trading styles. We value both traditional and innovative strategies and encourage our investment team to collaborate closely to share insights, identify synergies, and maximize opportunities.
Our centralized infrastructure enables our investment professionals to trade independently while adhering to a robust risk-management and operational framework. We are committed to investing in proprietary technology across all business units.
Maven's mission is to remain a market-leading investment house, attracting and retaining the best portfolio managers and traders in the industry.
Role Overview:
Maven is seeking an exceptional Portfolio Manager to join our UK-based investment team. The selected candidate will be responsible for constructing a long-short portfolio of European SMID cap equities.
The ideal candidate will possess a strong expertise in identifying companies trading at significant discounts to their fundamental value, along with the ability to pinpoint opportunities with clear catalysts for unlocking shareholder value.
The successful candidate will demonstrate exemplary risk management skills in portfolio construction as well as in mitigating exposure to broader market fluctuations.
We are looking for candidates who can generate original investment ideas, grounded in a deep fundamental understanding of their covered companies, and who are aware of industry and market dynamics that could affect valuation. An effective process for engaging with management teams, as well as the ability to form independent views in light of information from corporates, sell-side analysts, and other market sources is essential.
The selected individual will take ownership of all investment decisions, oversee the entire portfolio construction, and manage comprehensive risk assessment.

