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Conduct in-depth research and analysis across equities, mutual funds, bonds, and other investment products.
Evaluate financial statements, industry reports, and economic indicators to identify opportunities and risks.
Collaborate with Fund Managers on company-specific, peer-comparative, and sectoral research to strengthen portfolio strategies.
Manage data repositories, update Net Asset Values (NAVs), and maintain weekly/monthly fund factsheets.
Build and maintain professional relationships with external Fund Managers to stay updated on product developments.
Formulate data-backed investment recommendations for equity and debt securities.
Present research findings to portfolio managers and senior leadership to support decision-making.
Monitor macro-economic trends, policy updates, and regulatory developments to assess market impacts.
Job ID: 143949653