Product Management & Investor Relations – Real Assets, Analyst
New York, United States
June 24, 2026
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About This Role
Blue Owl Capital (NYSE: OWL) is a leading alternative asset manager with over $315 billion in assets under management as of March 31, 2026. The firm invests across three multi-strategy platforms: Credit, Real Assets, and GP Strategic Capital. Anchored by a strong permanent capital base, Blue Owl provides businesses with private capital solutions and offers institutional investors, individual investors, and insurance companies differentiated alternative investment opportunities.
Blue Owl is seeking an Analyst to join the Institutional Capital team, supporting the Real Assets platform. This role focuses on developing marketing and due diligence materials and supporting ongoing investor relations efforts across Real Assets funds and separately managed accounts. The position offers exposure to a broad set of strategies and close collaboration with investment, product, and client teams. The role is based in the New York office with an in-office schedule Monday to Friday.
Responsibilities include developing and maintaining marketing and due diligence materials such as pitchbooks, investor presentations, fact sheets, and due diligence questionnaires (DDQs); supporting the preparation of responses to RFPs, DDQs, consultant databases, and other investor-related requests including track record and portfolio analyses; assisting in the production of quarterly investor reporting including portfolio reports and investor letters; coordinating logistics and materials for investor meetings, roadshows, the annual investor meeting, and industry conferences; serving as a point of support for ongoing investor inquiries across Real Assets strategies; and partnering cross-functionally with investment teams and internal groups including performance, legal, tax, operations, finance, and accounting.
The ideal candidate will have 1-4 years of relevant experience within an asset manager, alternative investment firm, investment bank, or placement agent. Exposure to or interest in real assets such as infrastructure or real estate is preferred. Familiarity with the alternatives industry including investor base, fund structures, and competitive landscape is valued.
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