Analyst, Corporate Credit - Investment Grade

DoubleLine Group LP

Los Angeles (CA)

On-site

USD 100,000 - 150,000

Full time

14 days+
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Job summary

DoubleLine Group LP in Los Angeles, CA is seeking an Analyst, Corporate Credit. The role focuses on shaping investment strategy for investment grade corporate bonds through in-depth analysis and clear, actionable recommendations to portfolio managers.

Responsibilities include conducting research on US IG issuers, developing investment ideas, communicating findings, and monitoring market conditions to support decisions. Requires 2+ years in fixed income and a bachelor's degree; CFA/MBA preferred.

Qualifications

  • Requires 2+ years in public fixed income markets with relative value analysis.
  • Strong research abilities to extract and share investment insights.
  • Solid understanding of fixed income markets and macro factors.
  • Proficiency in financial modeling and quantitative analysis.

Responsibilities

  • Conduct Research: analyze bonds across issuers and US IG corporate credit universe.
  • Develop Investment Ideas: propose market-driven ideas to enhance strategy.
  • Communicate Findings: present research and recommendations clearly to the team.
  • Monitor Market Conditions: stay informed and adjust analysis to support decisions.

Skills

Research skills
Financial modeling
Quantitative analysis
Fixed income knowledge

Education

Bachelor's degree
CFA (or progress)
MBA

Job description

Job Details: Level: Entry, Job Location: Los Angeles, CA - Los Angeles, CA 90071, Position Type: Full Time, Education Level: 4 Year Degree.

The Analyst, Corporate Credit plays a role in shaping our investment strategy for investment grade corporate bonds. You will drive the investment process by conducting in-depth analysis, developing robust credit opinions, and delivering actionable recommendations that directly influence portfolio decisions. This role offers you the opportunity to make a significant impact on our investment outcomes by translating detailed market insights into strategic actions for our portfolio managers.

Job Functions
  • Conduct Research: Perform detailed financial, market, and economic analysis to evaluate bonds across a range of issuers and industries within the US IG corporate credit universe
  • Develop Investment Ideas: Use your market awareness to identify trends and propose new ideas that enhance our investment strategy
  • Communicate Findings: Share your research, analysis, and recommendations with the team in a clear and straightforward manner
  • Monitor Market Conditions: Stay informed about market developments and adjust your analysis as needed to support our investment decisions
Qualifications
  • At least 2 years of experience in public fixed income markets, must include relative value analysis
  • Strong research skills with the ability to extract and share meaningful investment insights
  • A solid understanding of fixed income markets, including macroeconomic factors, and a genuine interest in the US Investment grade bond market
  • Proficiency in financial modeling and quantitative analysis
  • A bachelor’s degree is required
  • Prefer CFA designation (or progress towards it) or MBA
Base Salary Range

The estimated base salary range for this position is $100,000 – $150,000. In addition to base salary, this position is eligible for an annual discretionary bonus, plus a comprehensive benefits package.

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