Sentences with phrase «fixed income credit»

OFI is currently seeking a high yield fixed income credit analyst.
Fixed Income Credit Analyst — High Yield / Investment Grade:.
Currently, he serves as the lead portfolio manager for Intermediate and Short maturity strategies and is a generalist in fixed income credit research.
Previously, Bartlett held sell - side research analyst roles at Bank of America and Alex Brown & Sons, and was a buy - side fixed income credit analyst for Aegon Investment Management.
I've been working with fixed income credit trading the last few years but I feel that I have not been measuring risk well.
The Fund is an alternative, tactically - managed, fixed income credit fund employing strategies that focus on generating stable income while mitigating risks and market volatility.
Prior to joining the MBS team as a portfolio manager, Cory was a structured finance credit analyst in the Fixed Income Credit Research Group at the firm.
His other experience was as a member of the Fixed Income Credit Research Team at Putnam (1996 — 2006).
After the bull market kicked off six years ago, as investors searched for yield amid low interest rates, they increasingly turned toward fixed income credit sectors, such as high yield, investment grade and emerging market debt.
The relationship between fixed income credit risk and historical returns is depicted below.
His other experience was as a member of the Fixed Income Credit Research Team at Putnam (1996 — 2006).

Not exact matches

Brevan Howard was co-founded in 2002 by five fixed - income traders from Credit Suisse and its grown to more than 430 people worldwide.
New Credit Suisse CEO Tidjane Thiam wasted little time in making deep cuts to parts of the fixed income business.
Overall, this augurs for globally diverse fixed income exposures, including a preference for up - in - quality credit exposures and an allocation to emerging market debt for investors who can tolerate the added risk.
Our team of credit professionals deliver sales and trading capabilities across a wide range of fixed income asset classes including high yield, distressed and investment grade bonds, convertible bonds, public and private corporate securities, leveraged loans and emerging market debt.
In addition, Mr. Fink spent four years with Credit Lyonnais Securities, where he most recently served as the Operating Treasurer, managing the security firm's fixed income portfolio.
In other words, when markets are volatile and there are worries about a recession, interest rate exposure can help offset credit risk in a fixed income portfolio.
Investments in fixed - income securities, including municipal securities, are subject to interest rate, credit / default, liquidity, inflation, prepayment, extension and other risks.
While equities traders may see compensation rise by 7 percent on average, the picture is mixed for employees on fixed - income desks: Credit and commodities traders may suffer double - digit declines, while rates and currency traders get a 5 percent boost, according to Options Group.
Fixed - income securities also carry inflation risk and credit and default risks for both issuers and counterparties.
Within fixed income, we suggest raising average credit quality, particularly focusing on investments in areas like high - grade corporate and municipal bonds.
Fixed income investments entail interest rate risk (as interest rates rise bond prices usually fall), the risk of issuer default, issuer credit risk and inflation risk.
We delve into the link between credit spreads and equity volatility in our new Fixed income strategy piece Turning stocks into bonds.
It doesn't matter if you are a fixed income investor considering purchasing bonds issued by a company, an equity investor considering buying stock in a firm, a landlord contemplating leasing a property to an enterprise, a bank officer making a recommendation on a potential loan, or a vendor thinking about extending credit to a new customer, knowing how to calculate it in a few seconds can give you a powerful insight into the health of company.
Here are just a few of the guaranteed benefits of federal loans: low, fixed interest rates; in - school and hardship deferment opportunities; loan forgiveness options; income - driven repayment plans; no prepayment penalties; and no minimum credit score requirement.
Colin Boese joined Leith Wheeler's Fixed Income team in July 2016 as an associate, focusing on high yield credit.
The PowerShares Total Return Bond ETF is an actively managed fund with the ability to invest in any number of fixed income securities with varying credit ratings, countries, and durations.
Fixed - income securities also carry inflation, credit, and default risks for both issuers and counterparties.
Its Wholesale Banking segment offers commercial loans and lines of credit, letters of credit, asset - based lending, equipment leasing, international trade facilities, trade financing, collection, foreign exchange, treasury management, merchant payment processing, institutional fixed - income sales, commodity and equity risk management, corporate trust fiduciary and agency, and investment banking services, as well as online / electronic products.
The model for the fixed - income style box is based on the two pillars of fixed - income performance: interest - rate sensitivity and credit quality.
Fears of similar upsets appear to be holding back investment flows into government bonds, while thirst for income has boosted other fixed income assets such as credit.
Russell Brownback, Managing Director, is a member of the Corporate Credit Group within BlackRock Fundamental Fixed Income and contributed to this post.
His most recent role included coordination of strategy across all fixed income, securitized assets, credit, FX and commodities.
Lower - quality fixed income securities involve greater risk of default or price changes due to potential changes in the credit quality of the issuer.
Once you have made your purchase, we encourage you to sign up for Fidelity's fixed income alerts to receive email notifications in the event one of your bond holdings is downgraded or placed on negative credit watch.
«Laddering bonds may be appealing because it may help you to manage interest rate risk, and to make ongoing reinvestment decisions over time, giving you the flexibility to invest in different credit and interest rate environments,» says Richard Carter, Fidelity vice president of fixed income products and services.
She previously served as co - head and senior portfolio manager in charge of the Montgomery fixed - income division at Wells Capital Management; a senior bond strategist at Goldman Sachs; and managing director responsible for the global fixed - income research and economics department at Credit Suisse First Boston.
The interest rate you are offered will depend on your credit profile, income, and total debt payments as well as your choice of fixed or variable and choice of term.
Fixed - income investments are subject to various other risks including changes in credit quality, market valuations, liquidity, prepayments, early redemption, corporate events, tax ramifications, and other factors.
a criteria used to evaluate the creditworthiness, or risk of default, of an individual fixed - income security; generally expressed through ratings provided by one of the credit ratings agencies
The credit is a fixed percentage of earnings up to a base level, remains constant over a range above the base level (the «plateau»), and then phases out as income rises further.
Fixed Income investing entails credit risks and interest rate risks.
One way to diversify traditional fixed income investments is to consider strategies that shift away from highly indebted companies and offer a balance between interest rate and credit risk... while still providing an attractive yield.
It is used when one party wish to transfer its credit exposure of a fixed income product to another party.
Fixed income securities involve interest rate, credit, inflation and reinvestment risks; and possible loss of principal.
If you'd like to learn more, you can find the credit spread for a given fixed income fund in the «portfolio characteristics» section of each product page — it's called the option adjusted spread or OAS.
It will allow users to list, buy, and sell any type of crypto or fiat fixed income financial instrument including loans, bonds, collateralized loan obligations, loan syndication, credit default swaps and futures.
If you have a pretty good credit history, a manageable level of recurring debt, steady income, and a down payment of 3 % or more — you might meet the minimum qualification requirements for a 30 - year fixed - rate mortgage loan.
Deleveraging would be a clear positive for corporate credit quality, says Michael Zezas, fixed - income strategist.
The borrowing party has reached its climax, concludes David Riley, head of credit strategy for London - based BlueBay Asset Management, which runs some $ 60 billion in fixed income funds.
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