Job Description We are seeking a meticulous and analytical Investment Research Analyst to join our Asset Management team. The role involves conducting research on financial markets and investment opportunities, analyzing data to support portfolio decisions, and providing insights that optimize investment performance. The ideal candidate has strong quantitative skills, market awareness, and the ability to collaborate with portfolio managers. Role Responsibilities Investment Research & Analysis Conduct thorough research on equities, fixed income, and alternative investments. Analyze financial statements, industry trends, and macroeconomic indicators. Develop financial models and valuations to evaluate potential investment opportunities. Provide actionable investment recommendations to portfolio managers. Portfolio Monitoring & Support Track and analyze portfolio performance relative to benchmarks. Identify risk factors and performance drivers across asset classes. Assist in portfolio rebalancing and asset allocation decisions. Monitor market developments and their potential impact on investments. Data Management & Reporting Collect, organize, and analyze financial and market data for research purposes. Prepare reports, dashboards, and presentations for internal teams and clients. Maintain research databases and ensure data accuracy and integrity. Collaboration & Strategy Support Work closely with portfolio managers, senior analysts, and traders. Participate in investment committee discussions with research-backed insights. Contribute to long-term strategic planning and thematic research initiatives. Qualifications Bachelor’s or Master’s degree in Finance, Economics, Accounting , or a related field. 2–4 years of experience in asset management, investment research, or financial analysis . Strong understanding of financial markets, instruments, and valuation techniques. Proficiency in Excel, Bloomberg, FactSet , or other financial analysis tools. Excellent analytical, quantitative, and problem-solving skills. Strong written and verbal communication skills. CFA designation or progress toward it is a plus. Key Attributes Analytical: Able to interpret complex financial data and derive actionable insights. Detail-Oriented: Ensures accuracy in research, reporting, and modeling. Market-Savvy: Understands macroeconomic trends and industry dynamics. Collaborative: Works effectively across teams and stakeholders. Proactive: Anticipates risks and identifies investment opportunities. Adaptable: Manages multiple projects under tight deadlines.