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$117k–$125k/yr
Full-time
bachelor degree, professional certificate
401k Match, Stock Ownership Potential, Life Insurance, Medical Insurance, Dental Insurance, Vision Insurance
Posted 39d ago
~40 hrs/week
Responsibilities
The role involves estimating long-term variables and expected returns for various asset classes using deep financial market knowledge and econometric techniques. Responsibilities include constructing fundamental equity indices and developing complex models for risk premiums and economic shocks.
Requirements
Requires a Bachelor's degree in a quantitative field and 3 years of relevant investment experience, along with a mandatory CFA credential. Expertise in Python, R, and advanced econometrics for asset pricing and return decomposition is essential.
Full job description
Job Duties:
It is expected the candidate can use these in conjunction with a deep understanding of financial markets to estimate long-term variables to generate expected returns (10%). Strong knowledge of financial theory, especially long-run cash flow models and present value relations, and the ability to translate stock-based theories and models to broader asset classes (10%). Expert in estimating equity expected returns using supply side framework, with proven contributions to this area (15%). Knowledge fundamental demand side equity models, with the ability to use present value relations to decompose risk premiums into supply side estimations of the equity risk premiums (10%). Expert in equity index aggregation methodologies, including ability to construct fundamentals based on unique Morningstar data and variables. This includes strong knowledge of industry best practices and techniques for producing robust aggregate data to use in our investment processes (15%). Expert knowledge in econometrics techniques and the ability to develop complex models. This includes, but is not limited to, strong knowledge of multivariate unit roots and structural break, with the expectation of proven contribution to this body of knowledge. Other areas with expected strengths include Markov regime switching models, trend and cycle decomposition, and estimation of latent variables (10%). Expert in time series, cross sectional and panel methodologies for conducting back test studies and research (5%). Strong knowledge of structural macroeconomics, including ability to identify and analyze the effects of different types of economic shocks, such as supply and demand shocks, using SVAR models (5%). Strong knowledge of fixed income models and term structure models and the ability to apply these concepts to equities and other asset classes (5%). Strong knowledge of foreign exchange models, including purchasing power parity models (5%). Understanding of cross asset class interactions and ability to model joint events using multivariate distributions. This includes the ability to create simulations using copulas and marginal distributions (5%). Strong understanding of portfolio variance decomposition and the ability to impose diagonal restrictions to capture bottom-up risk information from Morningstar equity analysts (5%). Remote work requests will be considered consistent with company policy.
Job Requirements:
This position requires a Bachelor's degree in Business Analytics, Finance, Economics, Mathematics, or a related analytical field, or foreign equivalent and 3 years of relevant investment experience in Associate Analyst (Multi Asset Research), Financial Product Specialist, or related position. Also, must have Chartered Financial Analyst (CFA) credential.
This position also requires experience with investments, especially expertise in and knowledge of financial theory and the ability to link this to empirical and practical applications, including estimating expected returns and asset allocation. Experience with advanced return and fundamental decompositions using knowledge of asset pricing theory. Experience of advanced econometrics and use in daily work flow. Experience using Python, R, Matlab, Morningstar Direct, Morningstar Direct API in Python, Pitchbook, Office 365 tools relevant to industry database. Experience in creating expected return models and estimates for public markets. Experience in creating expected return models for assets with non-observable returns. Experience in estimating latent variables, including but not limited to state space models and Bayesain Markov Chain Monte Carlo methods. Expertise in creating fundamental equity indices and fundamental ratios. Expertise in asset class and security level risk estimates and decompositions using eigenvalues and eigenvectors. Experience and understanding of economic competitive forces, especially quantitative measurement and modelling dynamics and fade rates of competitive advantages. Experience with communicating business goals and functional requirements effectively to any audience within the enterprise. Will accept any suitable combination of education, training, and experience.
Must possess unrestricted right to work in the U.S. in this position
Base Salary Range: $116,979 - 125,271
Morningstar Investment Management is an equal opportunity employer.
"#LI-DNI"
Compensation and Benefits
At Morningstar we believe people are at their best when they are at their healthiest. That’s why we champion your wellness through a wide range of programs that support all stages of your personal and professional life. Here are some examples of the offerings we provide:
Financial Health
100% 401k match up to 6% of salary
Stock Ownership Potential
Company provided life insurance - 1x salary + commission
Physical Health
Comprehensive health benefits (medical/dental/vision) including potential premium discounts and company-provided HSA contributions (up to $500-$2,000 annually) for specific plans and coverages
Additional medical Wellness Incentives - up to $300-$600 annual
Company-provided long- and short-term disability insurance
Annual Flex Stipend - $1000 annually to cover personal education & well-being expenses
Tuition Reimbursement
Social Health
Charitable Matching Gifts program
Dollars for Doers volunteer program
Paid volunteering days
15+ Employee Resource & Affinity Groups
Morningstar's hybrid work environment gives you the opportunity to collaborate in-person each week as we've found that we're at our best when we're purposely together on a regular basis. In most of our locations, our hybrid work model is four days in-office each week. A range of other benefits are also available to enhance flexibility as needs change. No matter where you are, you'll have tools and resources to engage meaningfully with your global colleagues.
U30_MstarAssocEur Morningstar Investment Management Europe Ltd. Legal Entity
Morningstar, Inc. is a leading provider of independent investment insights in North America, Europe, Australia, and Asia. The Company offers an extensive line of products and services for individual investors, financial advisors, asset managers and owners, retirement plan providers and sponsors, institutional
investors in the debt and private capital markets, and alliances and redistributors. Morningstar provides data and research insights on a wide range of investment offerings, including managed investment products, publicly listed companies, private capital markets, debt securities, and real-time global market data. Morningstar also offers investment management services through its investment advisory subsidiaries, with approximately $369 billion in AUMA as of Sept. 30, 2025. The Company operates through wholly-owned subsidiaries in 32 countries.
Offices: 22 W. Washington St., Chicago, IL 60602, US · Calle de Maria de Molina, 39, Madrid, Community of Madrid 28006, ES · 1 Toronto St, Suite 500, Toronto, Ontario M5C 2V6, CA · 1155 Boulevard René-Lévesque O, Suite 2500, Montreal, Quebec H3B 2J6, CA · Rua Prof. Atílio Innocenti, 165, sala 3-123, Vila Nova Conceição, São Paulo, SP, BR
How much do Science & Research jobs in Illinois pay?
Based on 2156 listings with disclosed salaries, most science & research jobs in Illinois pay between $76k–$228k per year. Individual offers vary with seniority, company size, and specialization.
How many Science & Research jobs are open in Illinois right now?
There are currently 4,557 open science & research positions in Illinois listed on Clera. New openings are added daily as companies post roles.
Which companies are hiring for Science & Research roles in Illinois?
Companies currently hiring include Northwestern Medicine, Allergan, The Applied Research Laboratory at Penn State University, Ann & Robert H. Lurie Children's Hospital of Chicago, Becker Friedman Institute for Economics, among others. Browse the listings above to see every active employer.
Are there remote or hybrid Science & Research jobs in Illinois?
Yes — 907 of the 4557 open science & research positions offer remote or hybrid work (276 remote, 631 hybrid).
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