Role at a glance
- Job function
-
Banking, Payments & Insurance Credit Analysis
- Salary
- Not Disclosed
- Location
- West Palm Beach, Florida, United States
- Experience
- 1+ years of experience conducting credit research on the buy-side or sell-side
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Role Summary
The role conducts fundamental credit research to develop investment views and trade ideas across liquid U.S. convertible securities and broader credit markets. It assesses issuers, securities, and market developments to support investment decisions and communicate the related thesis and risks.
What You'll Do
- Generate trade ideas across liquid U.S. convertible securities through bottom-up fundamental research.
- Analyze businesses and capital structures across loans, bonds, and credit default swaps to develop credit opinions.
- Build financial models to assess issuer fundamentals and relative value across distressed, high-yield, and high-grade credit markets.
- Review transaction documentation to identify risks and protections relevant to investment decisions.
- Synthesize market information across sectors into thematic opportunities and actionable trade recommendations.
- Monitor positions and communicate research conclusions, including key risks, relative value, and factors that may affect the investment...
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View full postingQualifications
Required: At least 1 year of buy-side or sell-side credit research experience; interest in public markets and trading; strong fundamental credit research skills, including financial modeling and relative value analysis; familiarity with bonds, convertible bonds, and credit default swaps; comfort with uncertainty and expressing conviction; desire to take compliant investment risk and accountability for research-driven decisions; self-motivated, team-oriented, collaborative approach; commitment to high ethical standards.
Required
- At least 1 year of buy-side or sell-side credit research experience
- Interest in public markets and trading, applying research to investment decisions
- Strong fundamental credit research skills, including financial modeling and relative value analysis
- Familiarity with bonds, convertible bonds, and credit default swaps
- Comfort working through uncertainty and expressing conviction in investment views
- Desire to take compliant investment risk and accountability for research-driven decisions
- Self-motivated, team-oriented approach with strong collaboration skills
- Commitment to the highest ethical standards
Original job description
Content provided by the employer
Original job description
Content provided by the employer
A Career with Point72's Macro Team
Point72’s Global Macro business is a scaled, global investment platform with more than two decades of experience trading across rates, FX, credit, volatility, and emerging markets. Operating across 10 offices worldwide, we have doubled our capital allocation and grown our number of teams fivefold since 2020. We combine deep asset-class expertise with a highly collaborative culture across macro, fundamental equities, and systematic strategies to drive differentiated investment performance and support long-term career growth for our talent.
WHAT YOU'LL DO
- Generate trade ideas across liquid U.S. convertible securities through bottom-up fundamental research
- Develop credit opinions by analyzing businesses and capital structures across loans, bonds, and credit default swaps
- Build financial models to assess issuer fundamentals and relative value across distressed, high-yield, and high-grade credit markets
- Review transaction documentation to identify risks and protections that inform convertible and broader credit investment decisions
- Synthesize market information across sectors to uncover thematic opportunities and translate insights into actionable trade recommendations
- Form differentiated investment views that challenge consensus and clearly articulate conviction behind those ideas
- Monitor existing positions by tracking news flow, fundamental developments, and supply dynamics that may affect investment views
- Communicate research conclusions clearly, including key risks, relative value considerations, and factors that could affect the investment thesis
WHAT'S REQUIRED
- 1+ years of experience conducting credit research on the buy-side or sell-side
- Interest in public markets and trading, with a focus on applying research to investment decisions
- Strong fundamental credit research skills, including financial modeling and relative value analysis
- Familiarity with credit securities, including bonds, convertible bonds, and credit default swaps
- Comfort working through uncertainty and expressing conviction in investment views
- Desire to take compliant investment risk and accountability for research-driven decisions
- Self-motivated, team-oriented approach with strong collaboration skills
- Commitment to the highest ethical standards
WE TAKE CARE OF OUR PEOPLE
We invest in our people, their careers, their health, and their well-being. When you work here, we provide:
- Fully paid health care benefits
- Generous parental and family leave policies
- Volunteer opportunities
- Support for employee-led affinity groups representing women, people of color and the LGBT+ community
- Mental and physical wellness programs
- Tuition assistance
- A 401(k) savings program with an employer match and more
ABOUT POINT72
Point72 is a leading global alternative investment firm led by Steven A. Cohen. Building on more than 30 years of investing experience, Point72 seeks to deliver superior returns for its investors through fundamental and systematic investing strategies across asset classes and geographies. We aim to attract and retain the industry's brightest talent by cultivating an investor-led culture and committing to our people's long-term growth. For more information, visit https://point72.com/.
About the company
Point72
Large Enterprise
Point72 is a global asset management firm that invests across various asset classes, primarily focusing on equity and credit markets. Founded by Steven A. Cohen in 2014, the firm leverages advanced data analytics and extensive research to drive investment decisions and deliver superior returns for its clients. With a commitment to collaboration, innovation, and professional development, Point72 cultivates a dynamic work environment where talented individuals can thrive in the fast-paced financial landscape. The company fosters a culture of integrity and accountability, aiming to contribute positively to the communities it serves.