5 Comments
 
 

They manage the risk associated with JPM's proprietary indices. Tons of indices out there like sector exposure, macro themes, momentum, vol controlled stuff, etc. They basically write options on these indices (think structured notes as well as vanillas and some light exotics) and traders manage the risk associated with them. Structuring will be more involved in either building the indices and or structured notes. They also do a lot of quantitative work like pricing those contracts after an RFQ.

 

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