The Portfolio Management unit
This large unit encompasses the teams of Portfolio Management Bonds and Equities, Multi-Asset and Credit Research. The area of sustainability, which we are continuously expanding, is also of great relevance to portfolio management. "Responsible management" has been part of our investment policy since MEAG was founded.
Our focus in the field of liquid assets for Munich Re (Group) and our non-Group clients is on bonds. These include government bonds, mortgage and covered bonds, corporate bonds and European, US and emerging country government bonds. But bonds are much more than that today. They also include asset-backed securities, mortgage-backed securities, registered bonds and other forms of debt financing.
In this field, you can put your feel for the markets and your decisiveness to the test with new challenges every day.
Your profile for a career in Portfolio Management
- University degree in economics or business mathematics and knowledge of the financial markets and their products
- Analytical talent and an entrepreneurial approach
- Commitment, decisiveness and a strong sense of responsibility
- Fluent English and outstanding communication and team skills