
Dartmouth Partners
The team invests broadly across fixed income markets, including in government bonds, IG and HY corporate bonds, MBS, securitized products, leveraged loans and rates.
The purpose of this role is to support Portfolio Managers by:
– conducting macroeconomic and thematic research across US and global markets
– identifying and evaluating relative value opportunities asset classes, sectors and securities
– conducting portfolio analytics, scenario analysis and stress testing, monitoring portfolio risk exposures
This is a highly collaborative team, so the right candidate will have a team-oriented mindset as well as relevant experience in fixed income asset management, portfolio management, investment strategy or research. Strong quantitative skills are essential, as well as experience in relative value analysis, a broad understanding of fixed income and experience in portfolio analysis / construction.
