LONDON, LONDON, United Kingdom
16 days ago
Asset Management, Global Rates Portfolio Manager, Executive Director

J.P. Morgan Asset & Wealth Management, is a global leader in investment and wealth management. Its clients include institutions, high-net-worth individuals and retail investors in every major market throughout the world. The division offers investment management across all major asset classes including equities, fixed income, alternatives, multi-asset and money market funds. For individual investors, the business also provides retirement products and services, brokerage and banking services including trusts and estates, loans, mortgages and deposits.

Asset Management is a leading investment manager of choice for institutions, financial intermediaries and individual investors, worldwide. With a heritage of more than two centuries, a broad range of core and alternative strategies, and investment professionals operating in every major world market, we offer investment experience and insight that few other firms can match.

Job Summary

The Global Rates team is responsible for managing Government bond portfolios within GFICC, as well as driving the macro view across the broader GFICC team. The team has a long and proven track record in managing global government portfolios, and having seen significant asset growth, is now looking for an experienced portfolio manager for the Global Rates portfolios.

Job responsibilities

·         Manage a wide range of government and government-related bond portfolios, delivering strong excess returns within the opportunity set of each portfolio.

·         Contribute to the team and platform’s view on the outlook for the economy and markets.

·         Work with the broader GFICC and AWM platform to communicate the Global Rates team’s view, and to incorporate insights from other sector teams into the Global Rates portfolios.

·         Represent the team in internal and client meetings.

Required qualifications, capabilities and skills 

·         Proven investment track record in government bond or related markets

·         Strong macroeconomic knowledge, and strong knowledge of fixed income markets, including derivatives

·         Strong technical and analytical skills

Preferred qualifications, capabilities and skills

·         Ability to work both collaboratively and independently

·         Attention to detail while multi-tasking in a fast-paced environment

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