Associate Portfolio Manager - Residential Mortgage Backed Securities

Lord Abbett.com

$175K — $225K *
Finance & Insurance
5 - 7 years of experience
Job Overview by Ladders

Qualifications

  • 5-10 years of experience in RMBS research or portfolio management
  • Strong knowledge of various RMBS security types
  • Exceptional analytical and quantitative skills
  • Understanding of mortgage market drivers like prepayments and interest sensitivity
  • Ability to evaluate both individual and portfolio-wide securities risks
  • Excellent communication skills for investment articulation
  • Detail-oriented with strong organizational capabilities
  • Collaborative and proactive problem-solving approach
  • Bachelor's degree; CFA or progress preferred
  • Proficient in Excel and market analytics tools like Bloomberg

Responsibilities

  • Generate RMBS trade recommendations leveraging research
  • Collaborate with portfolio managers and analysts to prioritize RMBS investments
  • Monitor and adjust portfolio risk objectives across parameters
  • Perform simulations and return forecasts for portfolios
  • Provide insights on RMBS relative values and document investment decisions
  • Communicate trade insights and updates within the team
  • Manage the security setup and compliance for trades
  • Update market data on valuations and trading activity
  • Build relationships with external trading and banking desks
  • Partner with analysts to integrate fundamental insights into portfolios
  • Stay updated on housing market trends affecting investments
  • Prepare and present portfolio updates to senior stakeholders

Benefits

  • Competitive total compensation
  • Retirement plans
  • Comprehensive health and well-being plans
  • Discretionary bonuses based on performance
Full Job Description
The Role

Job Overview:

We are seeking an Associate Portfolio Manager to support the management of portfolios with a focus on non-agency Residential Mortgage-Backed Securities. This individual will work closely with senior portfolio managers and research analysts to help drive and implement investment decisions across a full range of RMBS subsectors on behalf of a range of fixed income mandates at Lord Abbett.

This role is suited for an experienced investor who combines strong analytical capabilities with a growing track record of RMBS portfolio construction, credit risk management, interest rate and convexity management, and security selection alpha. The position offers principal risk-taking responsibility in portfolio construction, risk management, and idea generation within a collaborative, team-oriented environment

We'll trust you to:

  • Generate recommendations and implement RMBS trades, leveraging research and risk management resources for decision-making across a heterogenous set of mandates
  • Collaborate with other portfolio managers, research analysts, and traders to screen and prioritize RMBS with the best risk-adjusted returns
  • Monitor portfolio positioning and achieve or maintain desired risk objectives and targets across a range of parameters
  • Perform portfolio simulations and projections including excess and total return forecasts
  • Opine on relative value within RMBS and maintain documentation supporting investment decisions
  • Communicate trade color and commentary to the broader team and department
  • Manage trade lifecycles including security setup process, compliance checks, and post trade quality checks for analytical integrity
  • Update relevant market data pertaining to valuations, supply, trading activity
  • Build and maintain external relationships with trading, banking, and syndicate desks to ensure our team retains top-of-funnel access to opportunities
  • Partner with research analysts to incorporate fundamental insights into portfolio decisions
  • Stay current on housing market trends, interest rate dynamics, and policy developments impacting residential real estate
  • Prepare and communicate investment views and portfolio updates to senior stakeholders


You'll need to have:

  • 5-10 years of relevant experience in RMBS research, trading, portfolio management, or portfolio construction
  • Strong understanding of a wide range of security types within the RMBS landscape
  • Exceptional analytical and quantitative skills, with experience in financial modeling and risk analysis, inclusive of duration, convexity, and credit
  • Flexibility to think deeply about individual security risk as well as broadly, across securities within a portfolio, and across suites of portfolios
  • Familiarity with key drivers of mortgage markets, including prepayments, credit performance, and interest rate sensitivity
  • Demonstrated ability to contribute to investment decisions and portfolio outcomes
  • Effective communication skills, with the ability to articulate investment views clearly and succinctly
  • Detail-oriented with strong organizational skills and the ability to manage multiple priorities
  • Collaborative mindset with a proactive approach to problem-solving and idea generation
  • Bachelor's degree required; CFA or progress toward the designation preferred
  • Proficiency in Excel and familiarity with market analytics tools such as Bloomberg, Intex, or similar platforms preferred


Compensation Information: Annual base salary for this role is $175,000 - $225,000. Salary is estimated for this role. Actual pay may be different.

Discretionary Bonus: Role may be eligible to receive an annual discretionary bonus. Discretionary bonuses are determined by several factors including, but not limited to, firm, team, and individual performance.

Benefits: Lord Abbett is committed to offering a competitive total rewards package to all eligible employees. Offerings include competitive total compensation, retirement plans, competitive health and well-being plans. To learn more about what we offer, please visit Careers | Lord Abbett

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