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Relative Value Fixed Income Portfolio Manager

Employer
Wolverine Asset Management
Location
Chicago, Illinois
Salary
Competitive pay
Closing date
Dec 8, 2023

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Job Function
Hedge Funds, Portfolio Management: Fixed Income, Other
Industry Sector
Asset Management
Employment Type
Full Time
Education
Bachelors

Wolverine Asset Management seeks a skilled and experienced Relative Value Fixed Income portfolio manager to join our team. The successful candidate will be responsible for developing and executing relative value trading strategies for our $4 billion hedge fund.  This role will require a deep understanding of fixed-income markets and a proven track record of generating alpha through relative value trades. If you are a skilled and experienced Relative Value Fixed Income Trader looking for an exciting new opportunity to work with a leading hedge fund, we encourage you to apply. 

Responsibilities

  • Develop and implement relative value trading strategies in fixed-income markets, focusing on cash and derivatives products.
  • Analyze market trends, identify potential investment opportunities, and make trading decisions based on research and analysis.
  • Work closely with portfolio managers and research analysts to develop and refine trading strategies and investment ideas.
  • Monitor portfolio risk and ensure all trades comply with risk limits and investment guidelines.
  • Build and maintain relationships with brokers, dealers, and other market participants to ensure access to liquidity and market intelligence.
  • Collaborate with other traders across asset classes to identify cross-asset opportunities and enhance overall portfolio performance.
  • Maintain a strong understanding of market structure and regulations and stay up-to-date on industry developments and best practices.

Qualifications

  • Bachelor's degree
  • Minimum of 2 years of experience as a fixed income Trader with a focus on relative value strategies.
  • Strong analytical skills and experience with data analysis tools and techniques.
  • Ability to work collaboratively with portfolio managers, research analysts, and other traders.
  • Strong communication skills, including the ability to clearly articulate investment ideas and strategies.
  • Experience with electronic trading platforms and trading algorithms
  • Familiarity with fixed-income market structure, regulations, and conventions.

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