Full-Time

Investment Analyst

Credit

Confirmed live in the last 24 hours

Bracebridge Capital

Bracebridge Capital

51-200 employees

Hedge fund managing global fixed income investments

Quantitative Finance
Financial Services

Senior

Boston, MA, USA

Category
Quantitative Analysis
Quantitative Research
Quantitative Finance
Requirements
  • Minimum of 5-8 years of credit analysis experience with a preference for expertise in high yield and stressed credit
  • Strong quantitative, analytical, and communication skills
  • Ability to perform covenant analysis
  • Buy side experience preferred
  • MBA or CFA preferred
  • Solution-oriented and intellectually curious
Responsibilities
  • Source and generate investment ideas, internally and externally
  • Analyze investment opportunities across the capital structure
  • Perform fundamental and relative value analysis
  • Work closely with research team members and portfolio managers
  • Research and analyze industry trends, issuer credit worthiness, and financial market data

Bracebridge Capital is a hedge fund manager that focuses on investment strategies in global fixed income markets. The firm aims to preserve capital and achieve absolute returns while minimizing connections to equity, interest rate, and foreign exchange markets. With over $12 billion in net assets under management, Bracebridge serves a variety of clients, including endowments, foundations, pension funds, and high-net-worth individuals. The company operates from Boston and has a team of around 140 employees who work in a collaborative environment that values motivation and intellectual curiosity. Bracebridge's goal is to provide effective investment solutions that meet the needs of its institutional and individual investors.

Company Stage

N/A

Total Funding

N/A

Headquarters

Boston, Massachusetts

Founded

1994

Simplify Jobs

Simplify's Take

What believers are saying

  • Rising interest in ESG investing aligns with Bracebridge's Clean Earth Acquisitions stake.
  • Significant investments in Bitcoin ETFs tap into the growing digital asset market.
  • Institutional investors' demand for diversification benefits Bracebridge's non-correlated strategies.

What critics are saying

  • High volatility in Bitcoin ETFs poses a risk to Bracebridge's investments.
  • Reputational risk from Bitcoin ETFs due to regulatory scrutiny and public perception.
  • Market risk from Clean Earth Acquisitions investment due to acquisition company volatility.

What makes Bracebridge Capital unique

  • Bracebridge Capital focuses on non-correlated investment strategies for capital preservation.
  • The firm has a strong presence in global fixed income markets since 1994.
  • Bracebridge's entrepreneurial culture attracts motivated and intellectually curious individuals.

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