At a Glance
- Tasks: Join our team to analyse sovereign credit in emerging markets and provide actionable investment recommendations.
- Company: Vanguard is a leading investment management company known for its commitment to client success and innovation.
- Benefits: Enjoy a hybrid working model, professional growth opportunities, and a collaborative work culture.
- Why this job: Be part of a dynamic team influencing global investments and enhancing your analytical skills.
- Qualifications: Experience in sovereign credit research and a degree in finance or economics are essential.
- Other info: Open to candidates with expertise in specific regions and a willingness to expand their knowledge.
The predicted salary is between 43200 - 72000 £ per year.
Senior Credit Analyst focused on Turkey, the GCC countries, and non-frontier Asia - covering sovereign credit, including quasi-sovereigns, and local rates. Vanguard's market-leading active Emerging Markets (EM) team is looking for an experienced Sovereign Analyst. You will join one of the fastest-growing parts of Vanguard's active fixed income business, working on our dedicated EM funds and EM strategies across credit, multi-sector, and global funds. Additionally, this position will support future product launches to bolster our growing business in the active EM dedicated fixed income space.
You will join a team of London-based EM analysts as part of a broader group of investors in Vanguard's London office. You will collaborate closely with U.S.-based EM portfolio managers, traders, and research colleagues, including the U.S.-based head of EM research. As a key member of our Emerging Markets (EM) team, you will enhance our research focus on Turkey, the GCC countries, and non-frontier Asia - covering sovereign credit, including quasi-sovereigns, and local rates. While experience across this full universe is preferred, we are open to candidates with strong expertise in a portion of these regions and a willingness to expand coverage as needed.
We will look to you to provide actionable recommendations to generate alpha for Vanguard's investors, directly influencing the performance of our funds and contributing to Vanguard's reputation as a leader in emerging markets investments. You will have extensive research experience with a focus on sovereign credit and local markets. You will ideally have a strong understanding of, and track record in implementing relative value investment recommendations within the EM sovereign debt asset class. Strong analytical and communication skills, along with an ability to adapt to dynamic market conditions, will be crucial for success in this role.
Be part of this successful, growing, and truly collaborative team and help us strengthen our dedication to phenomenal value and changing the way the world invests! This role offers valuable opportunities for professional growth and development within Vanguard's dynamic and innovative environment.
In this role, you will:
- Collaborate with U.S.-based lead EM portfolio managers and regional sovereign analysts to develop investment recommendations for Turkey, the GCC countries, and non-frontier Asia. These recommendations will be implemented in our multisector credit funds and EM sovereign-focused funds, targeting both sovereign and quasi-sovereign assets across credit and local rates.
- Perform investment research, including written opinions, financial models, and investment presentations within a collaborative environment.
- Make relative value investment recommendations across different countries in both credit and rates while calibrating your views against global EM sovereigns, EM corporates, and other fixed income asset classes.
- Articulate and contribute to an EM sovereign investment process and understand how to deploy this investment strategy on a tactical (short-term) and strategic (long-term) bearing.
- Track broader sovereign trends and understand the different and changing risk factors that influence EM sovereign yields, be it global macro developments or idiosyncratic issues.
- Leverage and build upon your existing relationships with policymakers, central bankers, multilateral lenders, and sell-side contacts.
- Use your EM sovereign expertise to inform internal relative value and allocation discussion across other parts of the global IG and HY corporate sectors.
- Lead or participate in strategic projects both within the EM team and the broader Fixed Income organization, as needed.
- Support marketing efforts and product development activities.
Qualifications (What it takes):
- Extensive sovereign fundamentals research experience, preferably with a focus across credit and rates.
- A strong understanding and track record in implementing relative value investment recommendations within the EM sector, particularly in Turkey, the GCC countries, and non-frontier countries in Asia, is preferred.
- Sound appreciation of investment strategy as you will work with the active team to enhance and refine our active investment process.
- Ability to communicate your investment thesis and recommendations in a clear and succinct manner with consideration for the broader portfolio across multiple time zones.
- Undergraduate degree in finance or economics or equivalent combination of training and experience required. Graduate degree/CFA preferred.
- Relevant language skills are preferred.
Vanguard has implemented a hybrid working model for the majority of our crew members, designed to capture the benefits of enhanced flexibility while enabling in-person learning, collaboration, and connection. We believe our mission-driven and highly collaborative culture is a critical enabler to support long-term client outcomes and enrich the employee experience.
Senior Sovereign Credit Analyst, Emerging Markets employer: Vanguard Group
Contact Detail:
Vanguard Group Recruiting Team
StudySmarter Expert Advice 🤫
We think this is how you could land Senior Sovereign Credit Analyst, Emerging Markets
✨Tip Number 1
Network with professionals in the emerging markets sector, especially those who focus on Turkey, the GCC countries, and non-frontier Asia. Attend industry conferences or webinars to connect with potential colleagues and learn about current trends and challenges in sovereign credit analysis.
✨Tip Number 2
Stay updated on macroeconomic developments and geopolitical events that impact emerging markets. This knowledge will not only enhance your understanding of the regions but also demonstrate your commitment and expertise during interviews.
✨Tip Number 3
Familiarise yourself with Vanguard's investment strategies and recent product launches in the EM space. Understanding their approach will allow you to tailor your discussions and show how your skills align with their goals.
✨Tip Number 4
Prepare to discuss your previous research experiences and how they relate to sovereign credit analysis. Be ready to provide examples of your analytical skills and how you've made investment recommendations that generated positive outcomes.
We think you need these skills to ace Senior Sovereign Credit Analyst, Emerging Markets
Some tips for your application 🫡
Tailor Your CV: Make sure your CV highlights relevant experience in sovereign credit analysis, particularly focusing on Turkey, the GCC countries, and non-frontier Asia. Use specific examples of your work that demonstrate your analytical skills and investment recommendations.
Craft a Compelling Cover Letter: In your cover letter, express your passion for emerging markets and detail how your background aligns with Vanguard's mission. Mention any specific projects or experiences that showcase your ability to generate actionable investment recommendations.
Highlight Relevant Skills: Emphasise your strong analytical and communication skills in your application. Provide examples of how you've adapted to dynamic market conditions and successfully communicated complex investment strategies to diverse audiences.
Showcase Your Research Experience: Detail your extensive research experience in sovereign credit and local markets. Include any financial models, written opinions, or investment presentations you've developed, as these will demonstrate your capability to contribute to Vanguard's EM team.
How to prepare for a job interview at Vanguard Group
✨Showcase Your Research Skills
Prepare to discuss your extensive research experience, particularly in sovereign credit and local markets. Be ready to present examples of your previous work, including any financial models or investment presentations you've created.
✨Understand the Market Landscape
Familiarise yourself with the current trends in Turkey, the GCC countries, and non-frontier Asia. Demonstrating a solid understanding of the unique risk factors affecting these regions will show your potential employer that you are well-prepared and knowledgeable.
✨Communicate Clearly
Practice articulating your investment thesis and recommendations succinctly. Given the collaborative nature of the role, being able to communicate effectively across different time zones and teams is crucial.
✨Demonstrate Adaptability
Be prepared to discuss how you've adapted your strategies in response to dynamic market conditions. Highlighting your ability to pivot and adjust your approach will resonate well with the interviewers.