About the role
SUMMARY
The Credit Analyst will report to a West Palm based Portfolio Manager and will be focusing on fundamental bottoms up research to generate commercial trade ideas primarily across the liquid US converts universe.
JOB DESCRITPTION
- Conduct rigorous fundamental bottom up credit research to identify attractive long/short investment opportunities. This will entail credit analysis, financial modelling, documentation reviews, etc.
- Analyze businesses and capital structures (Loans, Bonds, CDS) across Distressed, High Yield, and High Grade credit markets and develop credit opinions working with the PM and other analysts in the team.
- Synthesize market information and develop thematic trade ideas across sectors.
- Develop differentiated investment views from consensus and push conviction or contrarian viewpoints.
- Monitor existing positions, including news-flow, fundamental developments, and supply.
QUALIFICATIONS
- 2+ years of experience in credit research on the buy-side or sell-side.
- Outstanding skills in conducting fundamental credit research, including financial modelling and relative value analysis.
- High degree of familiarity with different credit securities, including bonds and credit default swaps.
- Comfort dealing with uncertainty and must be able to express conviction.
- Desire to take risk and accountability of their decisions.
- Self-motivated, team orientated, and highly collaborative.
- Commitment to the highest ethical standards.
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.
Aplyr's read
Point72 is a global asset management firm known for its multi-strategy investing and rigorous analyst programs, attracting driven professionals in finance and technology.
What's promising
- •Point72's multi-strategy approach offers diverse investment exposure and learning opportunities.
- •The firm invests heavily in technology, providing cutting-edge tools for employees.
- •Point72 Academy programs are renowned for developing top-tier investment professionals.
What to watch
- •The firm's high-performance culture may lead to intense work pressure.
- •Regulatory scrutiny is a constant concern due to past controversies.
- •Limited public information about work-life balance and employee satisfaction.
Why Point72
- •Point72 manages the personal capital of founder Steven A. Cohen.
- •The firm combines traditional and quantitative strategies in its investment approach.
- •Point72 offers specialized roles in macro technology and quantitative analysis.
Aplyr’s read is generated by AI from public sources. Was it useful?
About Point72
Point72 Asset Management is a global asset management firm that manages the capital of its founder, Steven A. Cohen, and certain employees. The firm employs a multi-strategy approach to investing, focusing on long/short equity, macroeconomic trends, and quantitative strategies.