فرصة

Internship in Global Markets Sector Strategy at Credit Suisse in London

By: Credit SuisseLast update:
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Applicant criteria

NationalityUnited Arab Emirates, Bahrain, Djibouti, Algeria, Egypt, Iraq, Jordan, Comoros, Kuwait, Lebanon, Libya, Morocco, Mauritania, Oman, Palestine, Qatar, Saudi Arabia, Sudan, Somalia, Syria, Tunisia, Yemen
SpecialityAll Specialties
Gender
  • Both

Opportunity criteria

Job Type
  • Internship
Job locationUnited Kingdom
Needed documentsCV, Cover Letter
Deadline2020-01-01

Opportunity description

Credit Suisse is offering a great internship opportunity in Global Markets Sector Strategy in London, the United Kingdom. The applicant will be tasked with developing and providing investment and trade ideas to Leveraged Finance Credit traders, sales and clients. As with equity research, the desk strategists perform detailed fundamental analysis on companies, examining their business strategy, competitive position, and financial statements, as well as providing commentary and insights into how company-specific news flow impacts bonds, a loan or CDS prices.

Eligibility:

  • Your penultimate year of study for a Bachelor's or Master's qualification (or equivalent) in any discipline.
  • And be available for the full 10 weeks and be able to start full-time employment in July 2021.
  •  you’ll need to be:
  1. Client-focused and committed to developing creative solutions 
  2. A leader who naturally attracts followers
  3. A critical thinker with excellent problem-solving skills 
  4. A self-starter who is able to envision long-term goals and ways to attain them
  5. A collaborative team member who builds excellent relationships 
  6. An articulate communicator who also recognizes the importance of listening
  7. Analytical and logical, with raw intellectual ability

Responsibility:

  1. Expressing views to traders and clients on a number of relevant companies, based on the analysis of sector trends, financial projections, capital structure, and debt pricing levels; 
  2. Assessing the relative value versus comparable companies in the High Yield and Distressed universe;
  3. Generating trade ideas and company.
  4. Monitoring news flow and its impact on prices; 
  5. Engaging in regular communications with clients. 

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