
Global financial services firm
Asset Management, Highbridge, Relative Value Credit Derivative Trader
Highbridge Capital Management, LLC, founded in 1992, is a global alternative asset management firm. Over the years, it has developed a diversified investment platform that includes hedge funds, co-investment vehicles, and committed, closed-end vehicles designed for longer-term holding periods.
Today, Highbridge distinguishes itself as a credit, relative value and volatility-focused franchise, with the flexibility to invest opportunistically across the capital structure and liquidity spectrum. Currently managing over $4 billion in capital, the firm strives to generate attractive risk-adjusted returns for a financially sophisticated clientele, including institutional investors, public and corporate pension funds, sovereign wealth funds, endowments, foundations, and family offices. Headquartered in New York, Highbridge also operates an office in London.
Highbridge Capital Management is seeking a Vice President – Relative Value Credit Derivative Trader to play a pivotal role in building and executing a new Relative Value Credit investment strategy. This is a unique opportunity for an entrepreneurial and highly skilled trader to partner directly with the firm’s Co-Chief Investment Officers (CIOs) and Chief Risk Officer (CRO) in shaping a strategy that targets market inefficiencies and cross-capital structure dislocations, with a primary focus on the US and selective opportunities in Europe.
The strategy will employ both long and short positions across corporate credit, credit derivatives, and interest rate derivatives, with flexibility to trade single-name credit relative to indices, as well credit, equity and their derivatives. The successful candidate will work closely with the CIOs and CRO to define and implement a robust investment process and will also contribute to the design of systematic portfolio hedges for the firm’s funds.
This role offers substantial growth potential, as the trader will not only execute trades but also help architect the overall strategy, leveraging the capabilities of fundamental and quantitative research teams. The goal is to collectively build a scalable, innovative investment strategy guided by the firm’s leadership.
Job Responsibilities:
Strategy Development & Portfolio Management:
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Design, implement, and refine a systematic Relative Value Credit strategy with the CIOs and CRO.
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Execute trades across US and European credit, credit derivatives, indices, equities, and equity derivatives.
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Assist in developing and managing systematic portfolio hedges for the firm.
Idea Generation & Sourcing:
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Utilize proprietary screening tools to identify and evaluate new trade opportunities across the investment universe.
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Leverage strong relationships with the street to source and filter market intelligence and fresh trade ideas.
Research & Collaboration:
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Collaborate with fundamental credit analysts and quantitative resources to enhance the investment process.
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Jointly underwrite and manage risk with senior research team members.
Risk Management:
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Identify, assess, and manage portfolio risks, ensuring robust risk models and controls.
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Standardize methodologies with risk and portfolio construction teams.
Counterparty & Market Engagement:
- Build and maintain relationships with trading desks to source and filter market intelligence and trading ideas.
Performance Monitoring & Communication:
- Provide regular updates and participate in meetings to discuss strategy performance and risk with leadership.
Process Enhancement:
- Collaborate with technology and operations to develop tools and applications that support portfolio growth and scalability.
Required Qualifications, Capabilities and Skills:
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Bachelor’s or advanced degree in Finance, Engineering, Mathematics, or a related quantitative field.
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Minimum of 6 years of experience in credit trading, with significant exposure to credit derivatives; experience with equity derivatives is a plus.
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Demonstrated ability to understand and manage complex investment products and strategies.
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Exceptional quantitative, analytical, and problem-solving skills.
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Meticulous attention to detail and a disciplined approach to investment and risk management.
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Outstanding communication skills for effective engagement with internal and external stakeholders.
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Highly collaborative, adaptable, and comfortable working in a dynamic, fast-paced environment.
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Entrepreneurial spirit, intellectual curiosity, and a passion for building innovative investment strategies.
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关于JPMorgan Chase

JPMorgan Chase
PublicJPMorgan Chase & Co. is an American multinational banking institution headquartered in New York City and incorporated in Delaware. It is the largest bank in the United States, and the world's largest bank by market capitalization as of 2025.
300,000+
员工数
New York City
总部位置
$500B
企业估值
评价
10条评价
3.8
10条评价
工作生活平衡
3.5
薪酬
4.0
企业文化
3.8
职业发展
3.2
管理层
2.8
68%
推荐率
优点
Good benefits and compensation
Supportive colleagues and environment
Flexible work arrangements
缺点
Long hours and heavy workload
Management issues and lack of direction
High stress and expectations
薪资范围
44个数据点
Analyst
Junior/L3
Mid/L4
Senior/L5
Analyst · Analyst, Investment Banking
6份报告
$126,500
年薪总额
基本工资
$110,000
股票
-
奖金
-
$103,500
$201,250
面试评价
4条评价
难度
3.0
/ 5
时长
14-28周
录用率
50%
体验
正面 25%
中性 75%
负面 0%
面试流程
1
Application Review
2
HR Screen
3
Hiring Manager Interview
4
In-person/Final Interview
5
Offer
常见问题
Behavioral/STAR
Past Experience
Culture Fit
Financial Knowledge
Case Study
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