Job
Description
As a Research Analyst at our company, you will play a crucial role in conducting market research, analyzing financial data, and providing valuable insights to support strategic investment decisions. Your responsibilities will include: - Conducting fundamental and technical analysis of stocks, mutual funds, and other investment instruments. - Preparing detailed equity research reports, forecasts, and financial models. - Tracking market trends, company news, macroeconomic indicators, and sectoral developments. - Evaluating portfolio performance and recommending adjustments based on market movements. - Supporting fund managers in developing investment strategies and asset allocation decisions. - Preparing investment presentations and reports for internal stakeholders and clients. - Using statistical tools and financial models to assess risk, returns, and valuations. - Staying updated with SEBI regulations, market announcements, and global financial news impacting investments. The qualifications and skills required for this role are: - Bachelors or Masters degree in Finance, Economics, Commerce, or related fields. - 3-5 years of experience in equity research, portfolio management, or fund analysis. - Strong understanding of financial statements, valuation models (DCF, PE, EV/EBITDA, etc.), and investment metrics. - Proficiency in Excel, Bloomberg, Capital IQ, or similar research tools. - Knowledge of technical indicators, charting tools, and trading platforms. - Strong command of financial modeling and quantitative analysis. - Excellent written and verbal communication skills. Join us and contribute your expertise to our dynamic team of professionals in the financial industry. As a Research Analyst at our company, you will play a crucial role in conducting market research, analyzing financial data, and providing valuable insights to support strategic investment decisions. Your responsibilities will include: - Conducting fundamental and technical analysis of stocks, mutual funds, and other investment instruments. - Preparing detailed equity research reports, forecasts, and financial models. - Tracking market trends, company news, macroeconomic indicators, and sectoral developments. - Evaluating portfolio performance and recommending adjustments based on market movements. - Supporting fund managers in developing investment strategies and asset allocation decisions. - Preparing investment presentations and reports for internal stakeholders and clients. - Using statistical tools and financial models to assess risk, returns, and valuations. - Staying updated with SEBI regulations, market announcements, and global financial news impacting investments. The qualifications and skills required for this role are: - Bachelors or Masters degree in Finance, Economics, Commerce, or related fields. - 3-5 years of experience in equity research, portfolio management, or fund analysis. - Strong understanding of financial statements, valuation models (DCF, PE, EV/EBITDA, etc.), and investment metrics. - Proficiency in Excel, Bloomberg, Capital IQ, or similar research tools. - Knowledge of technical indicators, charting tools, and trading platforms. - Strong command of financial modeling and quantitative analysis. - Excellent written and verbal communication skills. Join us and contribute your expertise to our dynamic team of professionals in the financial industry.