Morgan Stanley Investment Management (“MSIM”), together with its investment advisory affiliates, has more than 1,100 investment professionals around the world and $1.51 trillion in assets under management or supervision as of March 31, 2024. Morgan Stanley Investment Management strives to provide strong long-term investment performance, outstanding service and a comprehensive suite of investment management solutions to a diverse client base, which includes governments, institutions, corporations and individuals worldwide. Global multi-sector fixed income team within Broad Markets Fixed Income manages over $20B in assets across various global multi-sector fixed income strategies. Given the growth of the business over the years the team seeks to add a portfolio management analyst based out of NY. This individual will be a key member of the global multi-sector portfolio management team and will directly report to the lead portfolio manager and support senior portfolio managers, while contributing broadly to the team’s overall fixed income investment process. Role Description The role will involve working closely with fixed income portfolio managers, to ensure global multi-sector portfolios are positioned in line with the views of the investment team while generating strong risk-adjusted returns in compliance with client objectives and investment guidelines. The role will also involve an understanding of the views of different fixed income sector teams spanning macro, credit and securitized, provide recommendations for investment decisions based on those views and to ensure those views are appropriately implemented in global multi-sector portfolios. Implementation of investment decisions will require thoughtful construction of multi-sector portfolios in line with client objectives and constraints. The role will involve day-to-day management of global multi-sector portfolios from managing daily flows, periodic rebalancing, trade implementations, model construction for potential mandates and in-depth portfolio reviews, to generate strong risk-adjusted returns. A successful candidate should be able to collaborate with colleagues across the fixed income business, work collegiately with portfolio managers, research analysts and traders to ensure efficient execution of investment ideas across multiple portfolios, and monitor the consistency of portfolio risk positioning across different investment strategies.
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Job Type
Full-time
Career Level
Mid Level
Number of Employees
5,001-10,000 employees