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Develop internal models / frameworks and use external research sources to provide perspectives on sovereign and agency bonds and derivatives, yield curves and foreign exchange. Conduct independent research within the Developed Market Strategy Team to develop investment recommendations in the areas of sovereign and agency bonds, inflation markets and FX for the fixed income portfolios managed by MFS.
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We work with a diverse range of institutional investors, including sovereign wealth funds, endowments, foundations, pension funds, family offices, and private investors. Our firm is renowned for its multi-disciplinary investment strategies, principled risk management, and commitment to delivering high alpha across various asset classes, including venture capital, private credit, private equity, biotechnology, and hedge fund and multi-asset strategies.
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GCI is seeking an Academic Researcher/Senior Academic Researcher with a strong background in China and the International Financial Architecture to lead policy-oriented research on:-China and the Global Financial Safety Net; -China and Global Development Finance; -China and the sovereign debt restructuring architecture.
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Our client base is comprised of institutional investors across the globe, including public & private retirement funds, sovereign wealth funds, endowments & foundations, and sub-advisory mandates.
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Since 1993, the firm has invested in more than $30 billion of commercial real estate on behalf of a diversified and highly regarded group of endowments, foundations, public and corporate pension plans, financial institutions, family offices, and sovereign entities.
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Experience with all aspects of financial statement analysis, modeling, and valuation, knowledge of sovereign analysis is a plus. Experience with all aspects of financial statement analysis, modeling, and valuation, knowledge of sovereign analysis is a plus.
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Implemented a prototype for systematic relative value strategies in sovereign debt. Engaged in a CMBS data analysis project involving a large proprietary SQL database to look for indicators of default on commercial real estate properties.
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3-7 year's experience in a research capacity at an asset manager with specialization in financially material climate transition including: mitigation, adaptation, physical risk implications for investment analysis.
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Founded in 2004 and managing funds since 2005 for a variety of institutional investors including sovereign wealth funds, endowments, foundations and pension funds, as well as select family offices and private investors.
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Joseph J. Blake’s clientele comprises the world’s most prominent banks, insurance companies, pension funds, pension fund advisors, developers, law firms, sovereign wealth funds, and government agencies.
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We are currently seeking to recruit a Sovereign Strategist to join our Emerging Markets Debt (EMD) team. As an active member of the EMD team, the Sovereign Strategist will be fully integrated into the investment process and will be expected to provide investment recommendations on both external and local debt, while also communicating (in writing and verbally) with a broader group of fixed income and equity investment professionals across the firm.
$180,000 a yearFull-timeExpandApply NowActive JobUpdated 1 month ago - UpvoteDownvoteShare Job
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Research Associates will work side by side with Portfolio Managers, Analysts, and Traders to help them understand the issues driving asset prices in financial markets, which includes asset classes such as local and external sovereign bonds, corporate debt, and FX and interest rate derivatives.
$125,000 a yearFull-timeExpandApply NowActive JobUpdated 20 days ago - UpvoteDownvoteShare Job
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We were founded in 2004 and have been managing funds since 2005 for a variety of institutional investors including sovereign wealth funds, endowments, foundations and pension funds, as well as family offices and private investors.
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TAG professionals specialize largely in providing financial and accounting buy-side and sell-side due diligence, capital markets and accounting advisory, global transaction analytics, ESG advisory and other related M&A services for private equity, hedge funds, sovereign wealth, family office and corporate clients around the world.
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The Broad Markets Fixed Income Team manages over $90B in assets across sovereign, core, core plus, and opportunistic strategies. In-depth knowledge of fixed income as an asset class across broad range of sectors including Developed and Emerging Markets, Investment Grade and High Yield Credit, Securitized and Derivatives.
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sovereign job in Medford, MA
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