
Portfolio Manager, Systematic High Yield
At Fidelity Investments, we believe in the power of a strong portfolio to help our clients achieve their financial goals. As a Portfolio Manager, Systematic High Yield, you will play a crucial role in managing high yield and alternative fixed income assets for our clients. We are looking for a skilled and experienced professional who can navigate the complexities of the market and deliver strong risk-adjusted returns. If you have a passion for investing and a proven track record of success, we invite you to join our team and make a meaningful impact on the financial well-being of our clients.
- Develop and implement investment strategies for high yield and alternative fixed income assets in line with the company's objectives and risk tolerance levels.
- Monitor and analyze market trends and economic conditions to make informed investment decisions.
- Conduct thorough research and due diligence on potential investment opportunities.
- Build and maintain relationships with clients to understand their financial goals and risk preferences.
- Communicate effectively with clients, colleagues, and other stakeholders regarding investment strategies and performance.
- Monitor and manage portfolio risk, ensuring compliance with regulatory guidelines and internal policies.
- Utilize advanced analytical tools and techniques to evaluate portfolio performance and make necessary adjustments.
- Collaborate with other portfolio managers and investment professionals to share insights and best practices.
- Stay updated on industry developments and trends to continuously enhance investment strategies.
- Mentor and train junior team members to develop their skills and knowledge in portfolio management.
- Maintain accurate and organized records of investments and client interactions.
- Adhere to ethical standards and maintain confidentiality in handling sensitive client information.
Bachelor's Or Master's Degree In Finance, Economics, Or A Related Field.
Minimum Of 5 Years Of Experience In Portfolio Management, Preferably In High Yield Or Fixed Income Strategies.
Strong Understanding Of Financial Markets, Investment Principles, And Risk Management Techniques.
Proven Track Record Of Successfully Managing Large Portfolios And Achieving Strong Investment Performance.
Professional Certifications Such As Cfa, Frm, Or Caia Are Preferred.
Risk Management
Financial Modeling
Investment Strategy
Risk assessment
Market trends
Asset allocation
Portfolio optimization
performance tracking
Investment Research
Portfolio
Asset Valuation
Fund Analysis
Communication
Emotional Intelligence
Leadership
Time management
Interpersonal Skills
creativity
Organization
Teamwork
Adaptability
Problem-Solving
According to JobzMall, the average salary range for a Portfolio Manager, Systematic High Yield in Boston, MA, USA is between $100,000 and $200,000 per year. This may vary depending on the specific company, experience level, and other factors.
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Fidelity Investments Inc., commonly referred to as Fidelity, earlier as Fidelity Management & Research or FMR, is an American multinational financial services corporation based in Boston, Massachusetts.

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