Summary: None of the 6 core skills listed for Fixed Income/Bond Trader match Risk Analyst word for word, but 3 build on related experience. The US median salary changes by +89% ($90K → $170K). Difficulty: Challenging, typically around 9 months of focused upskilling.
Risk Analyst: Identify, assess, and mitigate financial, market, and operational risks.
Fixed Income/Bond Trader: Trade government and corporate bonds, managing fixed income portfolios and interest rate risk. Growth outlook +2%; AI-augmented (AI changes how the work is done, not whether it exists). Typical education: bachelor. Typical experience: 3-7 years.
None of the listed skills match word for word, but the related experience below transfers.
| Region | Risk Analyst | Fixed Income/Bond Trader | Demand for Fixed Income/Bond Trader |
|---|---|---|---|
| United States | $90K | $170K | high |
| Europe | €75K | €140K | high |
| Asia-Pacific | $52K | $100K | moderate |
Salary figures are estimates benchmarked against public compensation data — see methodology.
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