Company Description:
As a leading global investment management firm, AB fosters diverse perspectives and embraces innovation to help our clients navigate the uncertainty of capital markets. Through high-quality research and diversified investment services, we serve institutions, individuals, and private wealth clients in major markets worldwide. Our ambition is simple: to be our clients’ most valued asset-management partner.
Group Description:
Sitting within the Fixed Income department, the Corporate Credit Research team is a global organization with team members in New York, Nashville, London, Hong Kong, Taiwan, Singapore, Pune, Mumbai, and Hangzhou. Our research analysts and associates play key roles in identifying and analyzing market inefficiencies and opportunities and working closely with our portfolio managers to translate the most attractive opportunities into appropriate risk exposures in client portfolios. Analysts specialize by market segment (Investment Grade, High Yield, and Emerging Markets) and collaborate closely across teams to leverage their industry knowledge and specialized credit skills across all our fixed income strategies.
Specific Responsibilities:
All aspects of research and diligence of companies, including financial modeling, and company, industry, ESG, and covenant analysis Remain current on industry news, trends, and controversies across assigned coverage. Provide relevant updates and presentations to the investment teams about new issue analysis and credit updates Develop an independent view of an issuer and its ratings, leveraging our proprietary ratings framework Provide analysis across performing and distressed credits within given sectors Develop and maintain a strong network of company, sponsor, sell-side and buy-side contacts
What makes this role unique or interesting (if applicable)?
Develop fundamental credit research skills across various sectorsCollaborate across the firm’s investment research teams, including credit and equityRegularly present to senior members of the investment team about sectors and issuersDevelop an understanding about how we run client portfoliosQualifications, Experience, Education:
This position requires:
Strong analytical and quantitative skills, demonstrated through academic and professional recordAbility to think broadly about the prospects of a business and how those could impact future valueRelentless drive with a passion for researchStrong work ethic and attention to detailExcellent communications skillsAbility to work well both independently and on teamsDeep understanding of financial statement modelingSpecial Knowledge (if applicable):
BS or higher in Accounting, Finance, or EconomicsLocation: Pune, India
Pune, India