This work is focused on the LUV 5.250% 04-May-2025 bond (ISIN: US844741BJ60), and asks you to perform tasks that would be typical of someone working within the fixed-income sector as a quant / trader, credit analyst, or portfolio manager.
Your first task is to access the security description from Reuters Eikon or Bloomberg. Evidence of this should be included.
I need an expert with the following expertise:
Fixed Income Security Valuation
Credit Analysis
Making an Investment Decision
No teams or companies please.
As an actuarial graduate from The University of Melbourne with the CPA destination, I believe I will be a great fit for the role. This is because I have strong understanding of various investment and actuarial knowledge such as valuation which can be proven by the fact that I have completed 8 actuarial exams offered by the Actuaries Institute.
I also have strong research skills and more than 9 years of investment experience, with more than 5 years of experience in FX trading.
Feel free to reply to this message if you are interested. I will be glad to have a further discussion with you about the project. Thank you very much!
I have 3+ years of experience in valuations of private companies, debt & equity instruments, merger and acquisition stakes, goodwill impairment, private equity and portfolio valuations.