Company Summary

Company Overviews

Clocktower is an alternative asset management and advisory firm based in Santa Monica, with a presence in London & Asia. Our top-down macro framework and relationship-based investing approach inform our strategies and drive the way we do business.

In public markets, we seed macro-oriented managers and manage an Asian equity platform. In private markets, we invest in fintech and climate disrupters. We also provide global macro research and advisory services.

Rating Reviews

Rating is calculated based on 2 reviews and is evolving.

Featured Reviews

Financial Analyst
3.9
25 September 2026
Challenging Work in Finance, but Long Hours Persist
Pros: Clocktower Group provides excellent exposure to complex financial markets and deal structures. The mentorship from senior staff is invaluable for career growth, and you'll learn a tremendous amount. There's a genuine sense of teamwork, and people are willing to help each other out, which is great for navigating tough projects in the investment management space.
Cons: The primary drawback is the demanding workload, which often translates to very long hours. While there's flexibility in *when* you work some tasks, the sheer volume can impact work-life balance significantly. Burnout is a real possibility if you don't manage your time extremely effectively, especially during peak periods in the asset management sector.
Advice to Management: Consider implementing more structured workload management to prevent team burnout. Greater transparency on project timelines and resource allocation could significantly improve work-life balance for employees in this fast-paced financial environment.
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Quantitative Analyst
3.6
12 September 2026
Challenging Role, Strong Learning in Finance
Pros: The intellectual rigor at Clocktower Group is top-notch. You're constantly challenged to think critically and develop innovative solutions. The team is full of smart, driven people who are genuinely invested in their work. Exposure to cutting-edge quantitative strategies and market analysis is unparalleled in the hedge fund space. Benefits package is competitive, reflecting the demanding nature of the work.
Cons: Work-life balance can be extremely challenging, especially during peak periods or when managing large portfolios. The pressure to perform is constant, which can lead to burnout if not managed carefully. Communication from senior leadership could sometimes be clearer, leading to minor confusion on strategic direction. It's a high-stakes environment, and not for the faint of heart.
Advice to Management: Consider implementing more structured mentorship programs to help newer analysts navigate the high-pressure environment. Enhanced communication channels regarding long-term strategy would also be beneficial.
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