Sec Credit PM/Trader

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Sec Credit PM/Trader

Pack, Jaime BGI SF

Securitized Credit Portfolio Manager

San Francisco, CA


Barclays Global Investors (BGI) is America's largest money manager, providing structured investment strategies such as indexing, risk-controlled active products, and exchange traded funds to investors worldwide. For 35 years, BGI has been at the forefront of developing innovative investment ideas, applying science and technology to the investment process. Headquartered in San Francisco and named one of the SF Business Times' ''Best Places to Work in the Bay Area 2007, '' the Barclays PLC subsidiary employs over 3,500 people globally and manages $2 trillion in assets.





The Securitized Credit Portfolio Manager/Trader will be a member of Fixed Income securitized credit investment team responsible for generating superior performance in all securitized credit portfolios. The PM/Trader will be responsible for trading securities and developing overweight/underweight recommendations in securitized credit market including ABS, CMBS, and CDOs for various funds based on portfolio mandate.





• Actively manage and enhance returns in Securitized Credit portfolios.

• Identify and analyze investment opportunities across all Securitized Credit sectors including ABS, CMBS, and CDOs.

• Work with research to develop and improve Securitized Credit Model.

• Assist in the development of on-desk tools used to analyze ABS, CMBS and CDOs.

• Develop and monitor hedging strategies.

• Support the development and implementation of Securitized Credit investment process, including active participation in daily and weekly Securitized Credit meetings.





• At least 5 years of experience in securitized credit analysis, trading and portfolio management. 

• An ability to conduct structural analysis of securitized assets including ABS, CMBS and CDO. 

• Knowledge of securitized credit risk management, including tools and strategies to manage idiosyncratic, systematic, and interest rate risks.

• Willingness to learn the BGI approach to quantitative investment management.

• Deep understanding of both cash and derivative fixed income instruments.

• Ability to prioritize multiple demands in a fast paced, yet intellectually demanding work environment.

• Excellent client facing skills.

• MBA and CFA desirable.



To apply, use this URL:







Please connect with me via LinkedIn:


Jaime Pack

Recruiting Specialist

Human Resources

Barclays Global Investors

(: (415) 908-7612 (office)

6: (415) 618-1411 (fax)

45 Fremont Street, San Francisco, CA 94105, USA



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