Build out desk for with European Investment Grade or High Yield strategy
Manage the portfolio by implementing an investment strategy that aligns with the fund's overall investment objectives. Monitor portfolio performance and make adjustments as necessary to optimise returns and manage risk.
Identify, and implement market opportunities and trading strategies to generate P&L
Conduct thorough fundamental research to identify investment opportunities across European credit markets.
Develop and maintain an in-depth understanding of market trends, economic indicators, and industry-specific factors that may impact portfolio performance.
Work closely with the research team to develop investment strategies that leverage the hedge fund's resources and expertise.
Collaborate with other portfolio managers to identify cross-asset investment opportunities.
Provide guidance and leadership to the research team and junior portfolio managers.
Foster a collaborative and supportive team environment that encourages innovation and growth.
Minimum 5 years of proven track record as a named Portfolio/Fund Manager at a leading Hedge Fund or Investment Manager running absolute return mandates in either European Investment Grade or European High Yield strategies.
Proven track record of low risk, low volatility with strong returns
High Sharpe Ratio
Ability to run a simple strategy with high liquidity
Proven track record of generating positive P&L
MSc/BSc from a top-tier university (in Economics or Mathematics) Masters level preferred