About The Position

Vanguard is seeking a Senior Emerging Markets (EM) Corporate Credit Analyst to join its market-leading active fixed income platform. This is a senior opportunity to help expand one of the fastest-growing areas of Vanguard’s active business, contributing to dedicated EM strategies as well as EM allocations within broader multisector portfolios. The role will also support future product development as Vanguard continues to broaden its active EM fixed income capabilities. Based at Vanguard’s global headquarters in Malvern, PA, the role partners closely with EM portfolio managers, traders, and global research peers to deliver actionable investment insights across EM corporate credit. Coverage is sector-driven and global, with primary responsibility for energy, metals & mining, and petrochemicals, rather than regional country assignments. The position reports to the Head of Emerging Markets Fixed Income Research. You will take senior responsibility for sector-led EM corporate credit research, directly influencing relative value views, issuer selection, capital structure positioning, and portfolio construction across both dedicated EM and multisector strategies. This position requires deep EM corporate credit expertise and a proven ability to translate fundamental research into investment decisions. You will analyze issuer balance sheets, business models, and capital structures, with a strong grasp of how commodity cycles, cost curves, regulation, and geopolitics affect credit outcomes. Success in this role depends on generating differentiated insights, identifying mispriced risk, and communicating conviction clearly in fast-moving markets.

Requirements

  • 8+ years of experience in EM corporate credit research, with sector expertise in energy, metals & mining, and/or petrochemicals.
  • Strong track record of generating and implementing relative-value investment ideas in EM corporate debt.
  • Deep understanding of capital structures, covenants, liquidity risk, and downside protection.
  • Ability to communicate investment theses and risks clearly and succinctly to portfolio managers across regions.
  • Solid understanding of portfolio construction within active fixed income.
  • Undergraduate degree in finance, economics, accounting, or a related field required.

Nice To Haves

  • Graduate degree and/or CFA strongly preferred.
  • Relevant language skills a plus.

Responsibilities

  • Develop and implement investment recommendations for EM corporate issuers globally within energy, metals & mining, and petrochemicals.
  • Conduct fundamental credit research, including financial modeling, scenario and stress analysis, and written investment opinions.
  • Assess relative value across issuers, subsectors, and capital structures, incorporating EM sovereign risk, developed-market comparables, and global IG/HY markets.
  • Monitor commodity price dynamics, regulatory and fiscal frameworks, and geopolitical risks, translating these into issuer-level credit implications.
  • Contribute to the evolution of Vanguard’s EM corporate credit investment process, supporting both tactical positioning and longer-term strategy.
  • Build and maintain relationships with company management teams, industry experts, and sell-side analysts.
  • Partner with sovereign analysts and global credit teams, providing EM corporate sector expertise across the platform.
  • Support client, marketing, and product initiatives, including investment commentary and thought leadership.
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