Find and execute investment strategies for a variety of fixed income instruments, such as corporate and government bonds as well as private credit opportunities.
Create practical investment suggestions by assessing and incorporating macroeconomic trends, changes in interest rates, credit fundamentals, and private market dynamics.
By using financial modelling, credit trend research, due diligence on private credit investments, written investment reports, and portfolio manager evaluations, you can ensure that your work product is of the highest calibre and consistency.
Build and preserve connections with economists, industry experts, private credit General Partners (GPs), and sell-side analysts.
Work together and give investment team members insights into private credit and fixed income.
Requirements
One to three years of expertise in private credit or fixed income analysis