T. Rowe Price Fixed Income Multi-Sector Desk Quant in Baltimore, Maryland
A career at T. Rowe Price says you want to contribute and make a difference at a leading global investment management firm where success results from the dedication our associates have in building success for our clients. We are a growing organization of associates from diverse backgrounds, experiences, and perspectives.We take a long-term view on associates and their careers. Our associates do phenomenal work with purpose, and as a result, we provide growth opportunities through in-person and online training, management development programs, and career development on the job.If you are seeking a meaningful work experience along with a workplace culture that thrives on teamwork, we invite you to explore the opportunity to join us.
The Fixed Income Multi-Sector Desk Quant resides within the Fixed Income Quantitative Investments and Research (FI Quant) Group. The Desk Quant works closely with Fixed Income Portfolio Managers in quantitative model development, design of optimal trading strategies, risk analysis, and portfolio construction. The Desk Quant will be the point person to provide day-to-day analytical support to the investment process. They will also perform ad-hoc investment analysis related to the strategies.
Investment Analysis and Research: Analyze portfolio exposures, communicate with portfolio management, research investment ideas and recommend actions that help align portfolio positioning to strategy objectives.
Assist in the development of optimal trading strategies to implement portfolio managers’ views
Research on trade ideas such as relative value, price dislocation, etc. in global fixed income multi-sectors
Responsible for productionizing FI quantitative models
Create security screening tools and data visualizations to assist in the portfolio management process
Analyze and interpret portfolio risk and attribution reports. Perform scenario analyses and other portfolio level testing
Partner with research quants in creating trading models and perform rich/cheap analyses
Assist portfolio managers by performing ad-hoc quantitative analysis
Work with internal systems designed for portfolio construction and trade modelling
Partner with the Technology organization to develop and enhance quantitative models from research stage through production
Collaborate with the research and investment teams to conceptualize new investment tools and to conduct relevant research
Provide portfolio construction and analytical support to product development efforts as needed
Bachelor’s Degree required. Master’s degree or Ph.D. in a quantitative discipline preferred. CFA designation is a plus
Proficiency in statistics and numerical analysis is essential for success
7+ years of experience in fixed-income asset management, preferably in quantitative research.
Comprehensive understanding of financial mathematics and portfolio concepts
Detailed knowledge of fixed income market and instruments
Ability to program in analytic languages and work with databases
Experience with performance attribution and risk models is desirable
Ability to establish rapport and work collaboratively with investors. Ability to work independently on projects.
Successful candidate will be highly motivated and detail-oriented
Ability to master complex tasks with minimal supervision
Ability to communicate ideas effectively and solve problems creatively
T. Rowe Price is an equal opportunity employer and values diversity of thought, gender, and race. We believe our continued success depends upon the equal treatment of all associates and applicants for employment without discrimination on the basis of race, religion, creed, colour, national origin, sex, gender, age, mental or physical disability, marital status, sexual orientation, gender identity or expression, citizenship status, military or veteran status, pregnancy, or any other classification protected by country, federal, state, or local law.T. Rowe Price is an asset management firm focused on delivering global investment management excellence and retirement services that investors can rely on–now, and over the long term.
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