Our client is a highly regarded global investment manager which is expanding within the UK and wider Europe. With AUM in the hundreds of billions of dollars, this firm invests across traditional and alternative equity and fixed income strategies, including a growing team that specialises in non-investment grade credit.
This position would be covering European high yield bonds and CLOs, looking at various sectors, and identifying/analysing investment opportunities.
The team is highly collaborative and encourages open discussion and sharing of ideas.
Ideally applicants would have some buy-side experience in a similar set up, although sell-side experience can also be considered. Somewhere around 3-6 years in credit research would work well here.
Please get in touch for further details.