E*TRADE from Morgan Stanley · 3 months ago
Executive Director - Investment Strategist, Alternatives, Global Investment Office
Morgan Stanley is a leading global financial services firm providing a wide range of investment banking, securities, investment management and wealth management services. They are seeking an Executive Director - Investment Strategist to provide direction on investment strategy and portfolio construction, publish market-related commentary, and manage field initiatives. The role involves collaborating with Advisors and contributing to the team’s research initiatives and investment strategy guidance.
BankingFinanceFinancial Services
Responsibilities
Provide direction on investment strategy and portfolio construction
Publish market-related commentary, including fundamental and technical drivers, investment themes, actionable ideas, and “white papers”
Design and monitor asset allocation models and single-security model portfolios
Perform investment manager due-diligence on traditional and alternative funds
Provide research coverage on municipal fixed income, ETFs, and CEFs
Partner with Advisors to understand investments and help them manage relationships with clients and close business with prospects
Manage Field initiatives including road shows, conference calls, and summits
Develop and apply a disciplined, systematic approach to portfolio construction
Support the Global Investment Committee and Financial Advisors across the investment process: strategic, tactical and dynamic asset allocation; active-passive decisions; manager selection; and portfolio construction and risk management
Introduce, update, and strengthen multiple proprietary frameworks, whose conclusions guide the Global Investment Committee, manager due-diligence teams, and Firm-discretionary investment processes
Oversee a suite of ETF allocation portfolios and several blended ETF-mutual fund portfolios
Assist Advisors with their discretionary portfolio construction, seeking to recommend high-quality portfolio lineups and deliver scalable customization
Author or support multiple cross-asset strategy publications, including the “GIC Weekly,” “Topics in Portfolio Construction,” “Global Insights, “Fixed Income Insights,” “Daily Positioning,” and the ChartBook
Articulate the Firm’s global macro and portfolio positioning views, focusing on the implications for alternative investments
Contribute heavily to the team’s research initiatives, including developing new frameworks and strengthening and maintaining existing ones
Qualification
Required
Demonstrated experience in multi-asset and alternative investments strategy, including specific knowledge of sub-strategies within hedged strategies and private investments
Strong attention to detail and analytical skills
Effective written and verbal communication skills
Entrepreneurial spirit and enthusiasm for a culture of ownership
Desire to thrive in a collaborative environment, leveraging strong interpersonal skills
Solid organizational skills and ability to work across multiple functions
Excellent problem-solving and analytical skills with strong business judgment
Intellectually curious
Experience in publishing investment research and strategy guidance for broad audiences
Experience with market data research and risk management systems (e.g., Aladdin, Barra, Bloomberg, FactSet, and Morningstar)
Intermediate technical skills, including advanced Excel modeling and PowerPoint skills and potentially quantitative programming languages (Matlab, SAS, SQL, Dataiku, or Python)
Bachelor's degree, preferably including quantitative coursework
Eight-plus years of experience as an investment strategist or portfolio manager
Grounding in alternative investment strategies from hedge funds to venture capital, private equity, private credit, private real estate and infrastructure
Buy-side or sell-side experience a plus
Preferred
Series 7 and 66 preferred, with expectation to obtain within three months of start date
Benefits
Commission earnings
Incentive compensation
Discretionary bonuses
Other short and long-term incentive packages
Other Morgan Stanley sponsored benefit programs
Company
E*TRADE from Morgan Stanley
E*TRADE from Morgan Stanley is a pioneer in the online brokerage industry.
Funding
Current Stage
Public CompanyTotal Funding
unknown2020-02-20Acquired
1996-08-16IPO
Recent News
2025-11-07
2025-10-14
Company data provided by crunchbase