The Group Fidelity’s Fixed Income division is one of the world’s leading fixed income managers with over $2 trillion in fixed income assets managed by a staff of more than 200 investment professionals. At Fidelity, we combine fundamental research on debt issuers with macroeconomic and quantitative analysis to develop investment decisions that aim to maximize risk-adjusted total return for our clients. The Fixed Income division is headquartered in Merrimack, New Hampshire. The Role Reporting to the Global Head of Fixed Income Research, the macro research analyst will be a primary contributor to the fixed income macro research team that produces opinions and recommendations for actively managed bond and money market portfolios across a wide range of strategies. The analyst will play a key role in delivering opinions and recommendations on fixed income market dynamics to inform portfolio duration, interest rate and asset allocation strategies across investment-grade fixed income asset classes. The role involves collaborating closely with members of the fixed income macro research team as well as other investment professionals across Fidelity’s asset management division. A strong knowledge of economics, central bank policy, global financial capital flows, debt market dynamics and fixed income asset strategy is essential. In addition, strong communication skills and the ability to formulate and deliver compelling investment conclusions is critical.
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Job Type
Full-time
Career Level
Mid Level
Education Level
No Education Listed
Number of Employees
101-250 employees