About Us:
At Ionic, we are transforming the wealth management landscape through a fusion of industry
expertise and cutting-edge technology. Our innovative wealth-tech platform is designed
exclusively for High-Net-Worth individuals, offering a seamless blend of strategic
investment solutions and personalized service. Backed by the rich legacy of Angel One -
India's largest publicly listed retail brokerage with over 25 years of market leadership—we
deliver a robust foundation for your wealth journey.
Job Description:
We are seeking a highly motivated and intellectually curious Equity Research Analyst to join our team, supporting a blend of global macro research, global equity research, and trading strategies. This role offers an exceptional opportunity to develop a comprehensive understanding of financial markets, contribute to investment research, and engage actively in trading decision-making processes.
Key Responsibilities:
- Conduct in-depth market and economic analysis across global regions and asset classes to identify macroeconomic trends and investment opportunities.
- Perform detailed fundamental equity research including financial modeling, valuation, and sector analysis for select company coverage.
- Support trading desks by analyzing market data, price movements, and trade execution performance.
- Synthesize diverse data points—macroeconomic indicators, company fundamentals, market sentiment—to generate actionable investment insights.
- Prepare written research reports and presentations for internal and client-facing use.
- Collaborate closely with research analysts, portfolio managers, and traders to refine investment theses and trading ideas.
Requirements:
- 3–7 years of relevant experience in global equity research related roles.
- Strong academic background in finance, economics, mathematics, engineering, or related quantitative field.
- Demonstrated understanding of global financial markets, instruments, and macroeconomic dynamics.
- High quantitative aptitude with excellent skills in data analysis, financial modeling, and statistical techniques.
- Exceptional research acumen, critical thinking, and the ability to connect multiple data points to form coherent investment narratives.
- Effective communication skills, both written and verbal, with attention to detail.
- Ability to work independently and collaboratively in a fast-paced, dynamic environment.
- Prior internship, coursework, or experience related to equity research, trading, or macroeconomic analysis preferred.
Additional Skills (Preferred):
- Proficiency with programming or statistical tools such as Python, R, MATLAB, or SQL.
- Familiarity with Bloomberg, FactSet, or other financial data platforms.
- Understanding of derivative instruments and risk management frameworks.