<?xml version="1.0" encoding="UTF-8"?>
<rss xmlns:a10="http://www.w3.org/2005/Atom" version="2.0">
  <channel>
    <title>RSS export of vacancies - Only featured vacancies : No / Profile : Investment Management--&gt;Fixed Income, Investment Management--&gt;Multi-Asset</title>
    <link>https://jobs.candriam.com/handlers/offerRss.ashx?Rss_Profile=2546%2C2710&amp;lcid=2057</link>
    <description />
    <language>en-GB</language>
    <item>
      <link>https://jobs.candriam.com/Pages/Offre/detailoffre.aspx?idOffre=397&amp;idOrigine=502&amp;LCID=2057</link>
      <category>Investment Management/Fixed Income</category>
      <category>Permanent</category>
      <title>2026-397 - Fixed Income Quantitative Analyst F/M</title>
      <description>&lt;b&gt;Business unit : &lt;/b&gt;Investment Management/Fixed Income&lt;br /&gt;
&lt;b&gt;Contract type : &lt;/b&gt;Permanent&lt;br /&gt;
&lt;b&gt;Position description : &lt;/b&gt;&lt;br /&gt;
Reporting to Candriam’s Head of Fixed Income, the quantitative analysis team provides technical and quantitative support to portfolio managers through the development of proprietary decision-making tools.&lt;br /&gt;&lt;br /&gt;
Main responsibilities:
Develop robust and well-adapted quantitative tools and models to analyze Fixed Income markets and enhance fund decision-making processes (Top-Down analysis, Asset Allocation, key indicators forecasting, etc.).
Design, develop, and backtest trading strategies and ideas (Relative Value, Pair Trading, Statistical Arbitrage, etc.) to provide actionable signals to our Fixed Income desks within a discretionary trading environment.
Contribute to both internal and external communication regarding the tools, models, and strategies developed (quantitative reports, presentations, training sessions, support materials, white papers, etc.)
&lt;br /&gt;
&lt;b&gt;Education : &lt;/b&gt;4. Master's Degree II / Bac+5&lt;br /&gt;
&lt;b&gt;Language / Level : &lt;/b&gt;&lt;br /&gt;
English : C1 - Fluent&lt;br /&gt;
&lt;b&gt;Language / Level : &lt;/b&gt;&lt;br /&gt;
French : C1 - Fluent&lt;br /&gt;
</description>
      <pubDate>Mon, 04 May 2026 22:03:22 Z</pubDate>
    </item>
    <item>
      <link>https://jobs.candriam.com/Pages/Offre/detailoffre.aspx?idOffre=401&amp;idOrigine=502&amp;LCID=2057</link>
      <category>Investment Management/Fixed Income</category>
      <category>Permanent</category>
      <title>2026-401 - Senior EMD sovereing Analyst/Fund Manager F/M</title>
      <description>&lt;b&gt;Business unit : &lt;/b&gt;Investment Management/Fixed Income&lt;br /&gt;
&lt;b&gt;Contract type : &lt;/b&gt;Permanent&lt;br /&gt;
&lt;b&gt;Position description : &lt;/b&gt;&lt;br /&gt;
Our Emerging Debt department is a dynamic and dedicated team of seven Fund Managers and Analysts based in London.
 They manage over €2bn in assets, including hard currency, local currency, and corporate bonds.
To further strengthen our capabilities, we are actively seeking to recruit a Senior sovereign Analyst/Fund Manager. This new team member will play a crucial role in enhancing our analysis and investment strategies in sovereign debt.&lt;br /&gt;&lt;br /&gt;
Based in London, your job description will cover:
Co-manage several strategies (funds and mandates to be defined), focusing predominantly on sovereign hard currency.
Conduct in-depth fundamental research and provide dedicated coverage of approximately 25–40 emerging market sovereign issuers.
Develop high-conviction investment recommendations across EM sovereign debt, identifying and managing profitable opportunities in both hard and local currency markets.
Perform rigorous country-level macroeconomic and fiscal analysis, including sovereign credit assessment, policy evaluation, and monitoring of local market dynamics.
Focus coverage primarily on Sub-Saharan Africa and/or Latin America, while maintaining awareness of broader emerging market trends.
Actively participate in monthly strategy committees, contributing to portfolio positioning discussions and risk allocation decisions.
Communicate investment views effectively to internal stakeholders and external clients where required.
Collaborate closely with the broader emerging markets investment team, ensuring alignment of views and consistency in the investment process.
Support the wider investment process and contribute to business development initiatives across sovereign strategies.&lt;br /&gt;
&lt;b&gt;Education : &lt;/b&gt;3. Master's Degree I / Bac+4&lt;br /&gt;
&lt;b&gt;Language / Level : &lt;/b&gt;&lt;br /&gt;
English : C1 - Fluent&lt;br /&gt;
</description>
      <pubDate>Wed, 08 Apr 2026 08:59:24 Z</pubDate>
    </item>
    <item>
      <link>https://jobs.candriam.com/Pages/Offre/detailoffre.aspx?idOffre=392&amp;idOrigine=502&amp;LCID=2057</link>
      <category>Investment Management/Multi-Asset</category>
      <category>Internship</category>
      <title>2026-392 - Internship Luxembourg – Multi-Asset Strategist F/M/D</title>
      <description>&lt;b&gt;Business unit : &lt;/b&gt;Investment Management/Multi-Asset&lt;br /&gt;
&lt;b&gt;Contract type : &lt;/b&gt;Internship&lt;br /&gt;
&lt;b&gt;Position description : &lt;/b&gt;&lt;br /&gt;
About the Multi-Asset Business
Our Multi-Asset investment platform manages diversified portfolios across a wide range of asset classes, including equities, fixed income, currencies, commodities and alternative investments.
The team designs and implements global, diversified and decorrelated investment strategies with the objective of delivering sustainable performance across market cycles.
We serve a broad base of institutional clients such as banks and pension funds, managing more than €14bn in assets under management.

Your Team:
You will join a highly experienced Multi-Asset team with a long-standing and proven track record. Most of the funds managed by the team are rated 4 or 5 stars by Morningstar.
The team is diverse, international and collaborative, bringing together a wide range of backgrounds and perspectives.

Your Role:
Are you interested in asset management and macroeconomic analysis?
 This 6-month internship offers a unique opportunity to gain hands-on experience within a renowned Multi-Asset investment team.
During the internship, you will be actively involved in macro-driven research, helping you develop a strong understanding of global economic dynamics and how top-down views translate into investment decisions.&lt;br /&gt;&lt;br /&gt;
Your responsibilities will include:
Collecting and analysing economic and financial data to support fundamental research across asset classes (equities, fixed income, currencies).
Contributing to asset allocation materials, including internal and external presentations, multi-asset outlooks, publications and press conferences.
Supporting day-to-day portfolio management and reporting, such as position monitoring, performance analysis and peer group comparisons.

Why Join Us?
You will work in a stimulating and intellectually demanding environment alongside experienced investment professionals within a leading and fast-growing European asset manager.
This internship will allow you to:
Deepen your knowledge of financial markets and asset management
Gain exposure to multi-asset portfolio construction
Strengthen your analytical, organisational and communication skills
Build a strong foundation for a career in investment management
&lt;br /&gt;
&lt;b&gt;Education : &lt;/b&gt;4. Master's Degree II / Bac+5&lt;br /&gt;
&lt;b&gt;Language / Level : &lt;/b&gt;&lt;br /&gt;
French : C2 - Mother tongue&lt;br /&gt;
&lt;b&gt;Language / Level : &lt;/b&gt;&lt;br /&gt;
English : C1 - Fluent&lt;br /&gt;
</description>
      <pubDate>Fri, 23 Jan 2026 07:40:07 Z</pubDate>
    </item>
  </channel>
</rss>