Have you consistently helped fixed-income fund managers create more efficient portfolios? Join T. Rowe Price-this role is for you! Role Summary The Quantitative Investment Analyst is an investment ...
Have you consistently helped fixed-income fund managers create more efficient portfolios? Join T. Rowe Price-this role is for you! Role Summary The Quantitative Investment Analyst is an investment ...
As the IG coverage lead, the Fixed Income Risk Director frequently engages with portfolio managers and management on market risks, both benchmark-relative and absolute, in commingled investment ...
As the IG coverage lead, the Fixed Income Risk Director frequently engages with portfolio managers and management on market risks, both benchmark-relative and absolute, in commingled investment ...
Be regarded as the go to / Subject Matter Expert (SME) for SMA taxable fixed income portfolio management within the technology division. * Design data architecture workflow for SMA platform ...
Be regarded as the go to / Subject Matter Expert (SME) for SMA taxable fixed income portfolio management within the technology division. * Design data architecture workflow for SMA platform ...
Role Summary Help shape the next generation of portfolio management technology at T. Rowe Price. The Fixed Income Investments Technology team at T. Rowe Price is seeking an experienced Senior Analyst ...
Role Summary Help shape the next generation of portfolio management technology at T. Rowe Price. The Fixed Income Investments Technology team at T. Rowe Price is seeking an experienced Senior Analyst ...
A Role Summary Help shape the next generation of portfolio management technology at T. Rowe Price. The Fixed Income Investments Technology team at T. Rowe Price is seeking an experienced Senior ...
A Role Summary Help shape the next generation of portfolio management technology at T. Rowe Price. The Fixed Income Investments Technology team at T. Rowe Price is seeking an experienced Senior ...
As a premier global asset management organization with more than 85 years of experience, we provide ... Fixed Income investment experienceAA * Demonstrated interest in and comfort with using AI-enabled ...
As a premier global asset management organization with more than 85 years of experience, we provide ... Fixed Income investment experienceAA * Demonstrated interest in and comfort with using AI-enabled ...
As a premier global asset management organization with more than 85 years of experience, we provide ... Fixed Income investment experience * Demonstrated interest in and comfort with using AI-enabled ...
As a premier global asset management organization with more than 85 years of experience, we provide ... Fixed Income investment experience * Demonstrated interest in and comfort with using AI-enabled ...
Lead and manage PAM technologies. * Provide technical expertise in threat/risk assessments related to privileged access. * Define, design, and implement strategies to protect against emerging threats ...
Lead and manage PAM technologies. * Provide technical expertise in threat/risk assessments related to privileged access. * Define, design, and implement strategies to protect against emerging threats ...
Formulate strategic and tactical asset allocation decisions across global equities, fixed income ... Design and manage custom model portfolios that align client-specific objectives, constraints, tax ...
Formulate strategic and tactical asset allocation decisions across global equities, fixed income ... Design and manage custom model portfolios that align client-specific objectives, constraints, tax ...
About this Position The Fixed Income Investment Liaison specializing in High Yield and Private Debt ... The liaison supports portfolio management operations and represents the investment strategy to ...
About this Position The Fixed Income Investment Liaison specializing in High Yield and Private Debt ... The liaison supports portfolio management operations and represents the investment strategy to ...
Formulate strategic and tactical asset allocation decisions across global equities, fixed income ... Design and manage custom model portfolios that align client-specific objectives, constraints, tax ...
Formulate strategic and tactical asset allocation decisions across global equities, fixed income ... Design and manage custom model portfolios that align client-specific objectives, constraints, tax ...
Prior experience with Equity OR Fixed Income Portfolios * Savvy use of technology in combination ... Project management experience Preferred: * Progress towards an MBA, MS in Finance, or CFA ...
Prior experience with Equity OR Fixed Income Portfolios * Savvy use of technology in combination ... Project management experience Preferred: * Progress towards an MBA, MS in Finance, or CFA ...
Prior experience with Equity OR Fixed Income Portfolios * Savvy use of technology in combination ... Project management experience Preferred: * Progress towards an MBA, MS in Finance, or CFA ...
Prior experience with Equity OR Fixed Income Portfolios * Savvy use of technology in combination ... Project management experience Preferred: * Progress towards an MBA, MS in Finance, or CFA ...
About this Job The Fixed Income Research Liaison acts to support the Fixed Income Credit Analysts ... Strong technical skills are needed to manage analytics and portfolio attribution. * Advanced Excel ...
About this Job The Fixed Income Research Liaison acts to support the Fixed Income Credit Analysts ... Strong technical skills are needed to manage analytics and portfolio attribution. * Advanced Excel ...
Role Summary The Fixed Income Associate Analyst program is a 3-5 year structured program offering ... portfolio managers, and traders * Opportunity to interact with senior management teams across an ...
Role Summary The Fixed Income Associate Analyst program is a 3-5 year structured program offering ... portfolio managers, and traders * Opportunity to interact with senior management teams across an ...
The investment strategies within this franchise are multi-asset investing across equities and fixed income. The Portfolio Specialist partners closely with portfolio managers and investment teams to ...
The investment strategies within this franchise are multi-asset investing across equities and fixed income. The Portfolio Specialist partners closely with portfolio managers and investment teams to ...
Thorough knowledge in fixed income/equity analytics, along with the ability to apply the concepts to solve practical portfolio problems. * Working knowledge of portfolio management process is a ...
Thorough knowledge in fixed income/equity analytics, along with the ability to apply the concepts to solve practical portfolio problems. * Working knowledge of portfolio management process is a ...
Thorough knowledge in fixed income/equity analytics, along with the ability to apply the concepts to solve practical portfolio problems * Working knowledge of portfolio management process is a ...
Thorough knowledge in fixed income/equity analytics, along with the ability to apply the concepts to solve practical portfolio problems * Working knowledge of portfolio management process is a ...
The portfolio analyst leverages the time of both the portfolio manager and portfolio specialist ... Fixed Income investment experience * Some institutional and/or intermediary investor experience
The portfolio analyst leverages the time of both the portfolio manager and portfolio specialist ... Fixed Income investment experience * Some institutional and/or intermediary investor experience
Spend time learning from our Analysts, Traders, and Portfolio Managers * Receive support and mentorship from our Fixed Income Associate Analyst team * Complete several group and independent projects ...
Spend time learning from our Analysts, Traders, and Portfolio Managers * Receive support and mentorship from our Fixed Income Associate Analyst team * Complete several group and independent projects ...
Fixed Income Portfolio Manager information
See Baltimore, MD salary details
$36.8K - $50.4K
9% of jobs
$50.4K - $64K
15% of jobs
$65.4K is the 25th percentile. Wages below this are outliers.
$64K - $77.5K
15% of jobs
The median wage is $88.2K / yr.
$77.5K - $91.1K
15% of jobs
$91.1K - $104.7K
10% of jobs
$104.7K - $118.3K
9% of jobs
$123.1K is the 75th percentile. Wages above this are outliers.
$118.3K - $131.9K
11% of jobs
$131.9K - $145.5K
10% of jobs
$145.5K - $159.1K
5% of jobs
$159.1K - $172.7K
2% of jobs
$172.7K - $186.3K
1% of jobs
$36.8K
$99.8K
$186.3K
How much do fixed income portfolio manager jobs pay per year?
What are the key skills and qualifications needed to thrive as a fixed income portfolio manager, and why are they important?
What is the difference between Fixed Income Portfolio Manager vs Bond Analyst?
| Aspect | Fixed Income Portfolio Manager | Bond Analyst |
|---|---|---|
| Primary Role | Oversees and manages fixed income investment portfolios to meet client objectives | Researches, analyzes, and evaluates individual bonds and fixed income securities |
| Required Credentials | Typically CFA, Series 7/63, and relevant finance certifications | Often CFA, Series 7/63, and strong analytical background |
| Work Environment | Asset management firms, investment banks, or institutional investors | Research firms, investment banks, or asset management companies |
| Focus | Portfolio performance, risk management, and client objectives | Security analysis, credit ratings, and bond valuation |
While both roles require strong analytical skills and relevant certifications, the Fixed Income Portfolio Manager focuses on managing entire portfolios and client strategies, whereas the Bond Analyst specializes in analyzing individual bonds to inform investment decisions.
How does a fixed income portfolio manager collaborate with research analysts and traders to optimize portfolio performance?

Fixed Income - Quantitative Investment Analyst - Portfolio Construction
Baltimore, MD • Hybrid
Full-time
Re-posted 12 days ago
T. Rowe Price rating
9.1
Based on 21 frontline employees who took The Breakroom Quiz
Job description
Do you excel in quantitative portfolio optimization for bond funds? Have you consistently helped fixed-income fund managers create more efficient portfolios? Join T. Rowe Price-this role is for you!
Role Summary
The Quantitative Investment Analyst is an investment role within the Fixed Income division at T. Rowe Price.The role resides within the Fixed Income Quantitative Investments and Research (FI Quant) group, as part of the Portfolio Research Group.The Portfolio Research Group seeks to enhance portfolio risk-adjusted returns by applying quantitative methods to: (a) advise portfolio managers on position sizing and optimal combination of positions in portfolios; (b) advise portfolio managers on risks not immediately covered by standard models; (c) capitalize on long-term market inefficiencies and risk premia as well as capture value from shorter-term dislocations.
The team requires an experienced quantitative researcher to conduct analysis in applied portfolio construction. A successful candidate will frequently interact with Fixed Income portfolio managers and senior Fixed Income leadership to advocate for implementation of relevant ideas and methods in fixed income portfolios.
Responsibilities
- Conduct quantitative research applied to US fixed income portfolios, involving sizing and combination of sectors, strategies and alpha signals, including off-benchmark segments
- Integrate solid risk-awareness in portfolio construction models, accounting for risk in normal and stressed market environments
- Proactively advocate for enhancing portfolio performance by applying appropriate quantitative methodologies and effectively collaborate with portfolio managers towards this goal
- Work with Technology partners to productionize models
Qualifications
Required:
- Degree in quantitative discipline. Master's or higher preferred
- 7+ years of investing experience
- Experience and expertise in fixed income markets, securities, and derivatives instruments, especially instruments that involve credit risk.
- Understanding of quantitative portfolio construction and optimization techniques
- Proficiency with R or Python programming language
- Ability and willingness to leverage AI tools available in the company to boost efficiency is highly valued
- Familiarity with risk forecast models
- Self-motivated, independent, detail oriented and intellectually curious
- Strong communication skills, with ability to influence others. Creative problem solver
Preferred:
- CFA designation
- Experience with US Securitized products, especially Mortgage Backed Securities (Agency and Non-Agency)
FINRA Requirements
FINRA licenses are not required and will not be supported for this role.
Work Flexibility
This role is eligible for hybrid work, with up to one day per week from home.
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About T. Rowe Price
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Industry
Funds, trusts and financial programs
Company size
5,001 - 10,000 Employees
Headquarters location
Baltimore, MD, US
Year founded
1937