Ellington Management Group
Fixed Income Portfolio Manager, Emerging Markets Debt
Ellington Management Group, Boston, Massachusetts, us, 02298
Job Listing Summary Fixed Income Portfolio Manager, Emerging Markets Debt
Location:
Boston, MA, United States Company:
Wellington Management Company LLP Employment Type:
Full-Time Date Posted:
July 7, 2025 Valid Through:
November 1, 2025 Key Responsibilities
Manage emerging market debt portfolios across various client mandates. Customize and construct individualized portfolios to meet client performance objectives. Collaborate with a team of EM macro analysts and quants. Communicate action-oriented opinions clearly and contribute to open investment dialogue. Required Experience
Minimum of 15+ years of emerging markets debt portfolio management experience. Demonstrated track record as a portfolio manager with attributable benchmark relative, total return and/or long/short track record. Qualifications
Strong investment philosophy and process supported by rigorous analysis. Expertise in hard currency emerging market debt and experience in local rates and FX markets. Ability to effectively communicate complex investment ideas and strategies. Intellectual curiosity and flexibility in thinking. Excellent academic credentials; an MBA/CFA or advanced degree is preferred.
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Location:
Boston, MA, United States Company:
Wellington Management Company LLP Employment Type:
Full-Time Date Posted:
July 7, 2025 Valid Through:
November 1, 2025 Key Responsibilities
Manage emerging market debt portfolios across various client mandates. Customize and construct individualized portfolios to meet client performance objectives. Collaborate with a team of EM macro analysts and quants. Communicate action-oriented opinions clearly and contribute to open investment dialogue. Required Experience
Minimum of 15+ years of emerging markets debt portfolio management experience. Demonstrated track record as a portfolio manager with attributable benchmark relative, total return and/or long/short track record. Qualifications
Strong investment philosophy and process supported by rigorous analysis. Expertise in hard currency emerging market debt and experience in local rates and FX markets. Ability to effectively communicate complex investment ideas and strategies. Intellectual curiosity and flexibility in thinking. Excellent academic credentials; an MBA/CFA or advanced degree is preferred.
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