We are PIMCO, a leading global asset management firm. We manage investments and develop solutions across the full spectrum of asset classes, strategies and vehicles: fixed income, equities, commodities, asset allocation, ETFs, hedge funds and private equity. PIMCO is one of the largest investment managers, actively managing more than $2.2 trillion in assets for clients around the world. PIMCO has over 3,070 employees in 22 offices globally. PIMCO is recognized as an innovator, industry thought leader and trusted advisor to our clients.
PIMCO is one of the world's premier fixed income investment managers with thousands of professionals around the world united in a single purpose: creating opportunities for our clients in every environment. Since 1971, we have brought innovation and expertise to our partnership with the institutions, financial advisors and millions of individual investors who entrust us with their assets. We aspire to cultivate performance and leadership through empowering our people, diversity of thought, and a commitment to an inclusive culture that engages in our global communities.
PIMCO is currently seeking a Portfolio Manager focused on volatility and relative value trading strategies.
Help primary PMs execute options across asset classes, with a heavy focus on interest rate options
Handle expires of options
Understand how relative value trades are constructed and how to construct a portfolio of such trades
Assist with booking of options trades
Learn how to risk manage portfolios that primarily consist of options and assist in hedging
Minimum one year of relevant, transferable experience working on a trade floor
Knowledge of fixed income products, with a focus on interest rate options