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Investment Grade - Analyst

Guggenheim Investments
FULL_TIME Remote · US Santa Monica, CA, Orange, US USD 110000–120000 / month Posted: 2026-05-11 Until: 2026-07-10
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Job Description
Position Summary Guggenheim Investments is seeking an Analyst for our Investment Grade Trading Team. The Analyst is responsible for maintaining market coverage, conducting security and portfolio-level analysis, and sourcing and reviewing investments. This position is collaborative and may be cross-functional across credit sectors and portfolio management in response to market conditions. The employee is responsible for intermediating, aggregating, and disseminating market information to credit sector teams, portfolio managers, and senior investment professionals. The employee will report to the Investment Grade Trader and Team Lead. The employee will work in the firm’s Santa Monica, California office, full time and maintain east coast time zone working hours. Responsibilities Key Responsibilities Assist in the analysis of new issue and secondary market municipal credits to create reports, analyses, and recommendations Track market/credit developments and update the team and client groups as needed Automate reports and dashboards to improve team processes Assist in the development automated templates used for holdings analysis, relative value assessment, peer group comparison, and financial statement analysis. Assist in the production of material used to provide senior management, portfolio managers, and risk with ongoing information about market sentiment, liquidity, volatility, and other market information about the sector Ensure adherence with firm policies and procedures with respect to investment underwriting, compliance, trading Qualifications Basic Qualifications Analyst (0-2 years) experience in credit research, analysis, trading, or structuring Must have professional internship, project, or proven work product in an investment capacity Undergraduate degree with strong academic performance is required Interest in pursuing the CFA designation Experience with industry standard tools such as Bloomberg, BRS, Yieldbook, Intex Strong credit, finance, economic, business, and technical skills Advanced Excel skills are required Strong written and verbal communication skills Ability to multi-task across analytical, administrative, and research activities in a detail oriented and timely manner. Strong commitment to performance and accuracy of work product Team oriented individual with ability to work independently and work well with diverse groups in a market-paced environment Preferred Qualifications CFA designation or progress toward CFA Internship experience in alternative investments, private equity, or asset management highly desirable Strong interest in markets, trading, fixed income, and investments .SQL, Python skills are a plus Salary Range Annual base salary between $110,000.00-$120,000.00 The base salary range represents the low and high end of the anticipated base salary range for this position. Actual base salaries may vary depending on factors such as location and experience. The range listed reflects base salary only, and the total compensation package may include other components such as incentive compensation.