Portfolio Manager - Fixed Income (Macro unconstrained)
At Allianz Global Investors our people enjoy motivating, fulfilling careers. If you’re looking for a fast-paced working environment, you’re resolved to cultivate and expand your talents and you believe in always putting the customer first, then join us now!~crlf~~crlf~We’re committed to giving our people – experienced and energetic professionals alike – the opportunities and experiences they seek to thrive and gain personal fulfilment. We will work with you to craft your own career, develop your personal growth, and align your achievements with your ambitions.~crlf~~crlf~We are searching for you ! We are currently hiring a forward-thinking and results-oriented Portfolio Manager - Fixed Income for the Macro Unconstrained Team. ~crlf~~crlf~The Macro Unconstrained team is a rapidly growing, highly successful team with market leading performance based in London. It currently runs 4 strategies, with AUM of $7.5bn, and is looking to add resource to build on success, with the potential to launch additional strategies. The team is part of the globally integrated ‘Core Fixed Income’ pillar, while maintaining autonomy over investment decisions.
## Responsible for helping to lead the Macro Unconstrained team’s portfolios, with a focus on global macro and unconstrained global aggregate strategies, which cover both developed markets and emerging markets~crlf~## Potential to assist in the management of the team’s UK rates and UK inflation linked funds ~crlf~## Supply the team’s macro investment idea generation, finding the best risk reward opportunities across the full suite of rates, credit/spread, inflation and FX~crlf~## Work with product development team to launch additional funds, with the potential for the candidate to be a named fund manager~crlf~## Contribute with investment ideas and analysis to the wider global fixed income investment platform~crlf~## Interact with Sales and Marketing on new and existing mandates, meet clients, present on Macro Unconstrained team’s strategies and investment philosophy.~crlf~
The successful candidate should be able to demonstrate expertise in macro strategies such as rates, credit/spread, inflation and FX, and ideally experience in more than one of these categories. This could come from the sell side, perhaps as a strategist that has experience in allocation of risk budgets, or it could potentially be an experienced buy-side macro portfolio manager.~crlf~~crlf~## The incumbent should have a minimum of 5 years investment experience~crlf~## Demonstrated outstanding track record in idea generation or as a portfolio manager across rates, credit/spread, inflation and/or currencies~crlf~## Needs to be a risk taker, and able to demonstrate ability to take high conviction and sometimes anti-consensus views~crlf~## Be a team player and comfortable interacting and optimizing relationships with other AllianzGI FI teams~crlf~## Be a strong communicator, comfortable in presenting to clients on strategies and markets, and able to contribute to the team’s communication efforts via white papers, articles, blogs etc.~crlf~## Be able to travel when needed both to meet clients and to interact with other entities in the Group~crlf~## Have a strong academic background, university degree or equivalent, ideally in a numerate subject~crlf~## Be proficient in English (additional languages are advantageous).~crlf~
Allianz is the home for those who dare – a supportive place where you can take the initiative to grow and to actively strengthen our global leadership position. By truly caring about people – both its 100 million private and corporate customers and more than 147,000 employees – Allianz fosters a culture where its employees are empowered to collaborate, perform, embrace trends and challenge the industry. Our main ambition is to be our customers’ trusted partner, instilling them with the confidence to grow. If you dare, join us at Allianz Group.~crlf~~crlf~We at Allianz believe in a diverse and inclusive workforce and are proud to be an equal opportunity employer. We encourage you to bring your whole self to work, no matter where you are from, what you look like, who you love or what you believe in.
Allianz Global Investors is a leading active asset manager with over 770 investment professionals in 25 offices worldwide and managing EUR 535 billion in assets for individuals, families and institutions.
Active is how we create and share value with clients. We believe in solving, not selling, adding value beyond pure economic gain. We invest long-term, drawing upon our broad and innovative investment expertise, and leveraging resources globally to ensure a superior client experience wherever they are based and whatever their investment needs.~crlf~Active is: Allianz Global Investors~crlf~~crlf~You are committed to creating value for our clients so that they can meet their financial objectives throughout their lives. You embrace a collegial culture based on strong values, take individual responsibility, and are dedicated to mastering challenging tasks. You aspire to make an impact in a diverse, international, technology-enabled and increasingly agile environment. If you feel inspired to elevate the active asset management experience, this is the place for you since,~crlf~Active is: Allianz Global Investors.~crlf~~crlf~
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