Portfolio Manager Global and Euro aggregate bond (200000AP) Portfolio Manager Global and Euro aggregate bond  …

AXA IM
in Puteaux, Ile-de-France, France
Permanent, Full time
Last application, 22 Feb 20
Selon Profil
AXA IM
in Puteaux, Ile-de-France, France
Permanent, Full time
Last application, 22 Feb 20
Selon Profil
Nous sommes un investisseur global multi-actifs, qui privilégie le long terme et la gestion active, pour permettre au plus grand nombre d’atteindre ses objectifs financiers en exploitant tout le potentiel des solutions d’investissement. En associant une connaissance pointue de l’investissement et de l’innovation à une gestion solide des risques, nous sommes devenus l’un des acteurs majeurs de la gestion d’actifs en Europe, avec 746 milliards d’euros d’actifs à fin 2017. Nous employons 2 400 personnes à travers le monde et possédons 29 bureaux répartis dans 21 pays.

DESCRIPTION

 Within the Fixed Income division of AXA IM, specifically the department in charge of managing Buy and Maintain 3rd part clients’ portfolios, assume responsibility primarily for managing fixed income portfolio (complex or not) but also for all services provided by AXA FI to the relevant client under the leadership of the Head of FI Buy and Maintain, acting as the main entry point for the clients (in coordination with the relevant Sale’s representative)

Portfolio management
Global and Euro aggregate bond portfolio management
Major role in market positioning (Duration, curve, sector allocation, …) 
Relative value (including XCCY, Govies Semi-Core/Core, ASW, …) and derivative (FX & IR)
Active contribution in client reporting production

Portfolio strategies & specifics
LDI / CDI / CFM (Main key contact and team expert)
Management with accounting objectives
ESG & Impact investing

Business Dev
Client/prospect facing 
Business development, RFPs with local/regional Sales and PSU teams

Team & Philosophy
Endorsement of specific Buy & Maintain philosophy and process
Active contributor in the enhancement of the B&M philosophy
Participation to the transversal development of the global (including FI for AXA) team with London and Greenwich offices

QUALIFICATIONS

 Expérience 
FI PM experience above 7 years min

Connaissances et compétences
Portfolio manager 
Advance knowledge of Global credit and Govies markets
Relative value (including XCCY, Govies Semi-Core/Core, ASW, …) and derivative skills (FX & IR)
Advance knowledge in LDI / CDI / CFM management
Knowledges in portfolio management with accounting objectives
Involvement and proactivity in business development
ESG knowledge
FO tools : Simcorp abilities is a plus

Compétences personnelles 
Languages
: Fluent English &French

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