Fixed Income Relative Value Portfolio Manager | Paragon Alpha

Fixed Income Relative Value Portfolio Manager

Permanent

Portfolio Management

London, New York, Hong Kong, Singapore, Dubai, Geneva

We are hiring a Fixed Income Relative Value Portfolio Manager to join leading global hedge funds and multi-strategy platforms. This role focuses on trading relative-value opportunities across fixed income markets, including rates, swaps, government bonds, and related derivatives, with a strong emphasis on risk-adjusted returns.

Consultant | Global Quant PMs

James Beauclerk

info@paragonalpha.com

Key Responsibilities

  • Manage a fixed income relative value portfolio with full PnL ownership
  • Trade RV strategies such as curve, spread, basis, and cross-market trades
  • Identify mispricings across rates, swaps, and fixed income derivatives
  • Work closely with risk and execution teams to optimize capital usage and drawdowns

Requirements

  • Proven track record in fixed income relative value trading at a hedge fund or bank
  • Deep understanding of rates markets, yield curves, and pricing relationships
  • Strong quantitative and analytical skills
  • Disciplined risk management and portfolio construction experience
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