18 часов назад
Fixed Income Investment Strategist
248 000 - 322 000$
Мэтч & Сопровод
Для мэтча с этой вакансией нужен Plus
Описание вакансии
Текст:
TL;DR
Fixed Income Investment Strategist (Fixed Income Markets): Developing actionable investment strategies and research across government bonds, corporate credit, securitized products, municipals, and emerging market debt with an accent on macroeconomic analysis, credit research, and portfolio construction. Focus on building scenario and stress-testing models, evaluating duration and spread risk, supporting portfolio positioning, and communicating investment views to committees and clients.
Location: New York, United States
Salary: $248,000–$322,000 per year, plus eligibility for an annual bonus.
Company
provides research-based data, analytics, indexes, and investment solutions for asset managers, investors, financial institutions, and corporations.
What you will do
- Develop and communicate fixed income investment strategies across government bonds, corporate credit, securitized products, municipals, and emerging market debt.
- Monitor macroeconomic trends, central bank policy, inflation, labor markets, geopolitics, valuations, and relative-value opportunities.
- Conduct research on interest rates, credit markets, yield curves, inflation expectations, liquidity, and historical market performance.
- Build financial models for scenario analysis, stress testing, risk assessment, performance attribution, and portfolio analytics.
- Collaborate with portfolio managers on portfolio construction, optimization, positioning, and benchmark-relative performance.
- Prepare research publications, presentations, client materials, and market commentary for investment committees and external clients.
Requirements
- Bachelor’s degree in finance, economics, mathematics, statistics, or a related quantitative field.
- 5+ years of experience in fixed income research, investment strategy, portfolio management, or capital markets.
- Strong knowledge of interest rate and credit markets, fixed income securities and derivatives, yield curves, duration, convexity, and portfolio risk management.
- Advanced proficiency in Excel and PowerPoint, with experience using Bloomberg Terminal, FactSet, ICE Data Services, or similar platforms.
- Experience with quantitative modeling and financial analytics tools.
- Strong analytical, communication, presentation, critical-thinking, and collaborative skills.
Nice to have
- Master’s degree or MBA.
- CFA designation or progress toward the CFA charter.
- Familiarity with Python, R, MATLAB, SQL, ESG integration, or multi-asset investment strategies.
- Experience covering global fixed income markets or supporting institutional investors, asset managers, insurers, pension funds, or wealth managers.
Culture & Benefits
- Flexible working arrangements, advanced technology, and collaborative workspaces.
- Comprehensive employee benefits tailored to location.
- Learning opportunities through the Global Orientation program, Learning@, AI Learning Center, LinkedIn Learning Pro, and tailored development programs.
- Professional growth through internal mobility, expanded roles, and multidirectional career paths.
- Inclusive environment supported by eight Employee Resource Groups.
Будьте осторожны: если работодатель просит войти в их систему, используя iCloud/Google, прислать код/пароль, запустить код/ПО, не делайте этого - это мошенники. Обязательно жмите "Пожаловаться" или пишите в поддержку. Подробнее в гайде →
Похожие вакансии
14 часов назад
Research Analyst (Fixed Income)
150 000 - 200 000$
1 день назад
Fixed Income Portfolio Manager
137 400 - 233 600$
21 час назад
Senior Credit Analyst, RMBS
180 107 - 228 000$
13 часов назад
Portfolio Construction Analyst (Fixed Income & Portfolio Risk Analysis)
120 000 - 160 000$
12 часов назад
Fixed Income Research Analyst: Industrials & Utilities
116 100 - 197 300$
17 часов назад
Quantitative Strategist, Global Banking & Markets, FICC Resource Management
150 000 - 300 000$