Investment Analyst/Associate (International Listed Investments)
- Strong investment/analytical experience in portfolio management investment research and/or public fund selection in areas such as equities ETFs hedge funds & bonds fixed income etc. preferably in an investment firm or in a wealth management platform or in a family office or in any similar other buyside platform.
- Ability to perform indepth analysis on the quality credibility and historical performance of managers/issuers.
- Ability to perform risk & sensitivity analysis on total portfolio and on individual investment positions & opportunities as well.
- Good experience of conducting fundamental research on listed investment opportunities and ability to create clear and concise investment memos highlighting performance outlook industry positioning and risks/merits of investment case.
- Due exposure to working with all modern investment tools (MS Office / Bloomberg / Morningstar / Eikon / among others) and adequately tech savvy.
A. Research Investment & Monitoring
- Provide active support to PM/HOLI (Intl. Listed Investments) in the origination assessment evaluation and execution of investment opportunities in the space of international listed investments.
- Stay up to date with market news and developments globally and provide insights and make actionable suggestions for International listed investment portfolio.
- Monitor global financial markets on a continued basis to identify outperforming sectors and geographies and shifting trends to generate investment/divestment and trade ideas.
- Conduct Fundamental Analysis in forming views about buying selling or holding international listed investment positions.
- Perform due diligence research and analysis on prospective investment opportunities across the multiasset class international investment portfolio including viability of the manager the relevant peer analysis track record volatility quartile ranking against other managers in the space and potential absolute returns and risk adjusted returns.
- Maintain updated coverage on portfolios of DM and EM equity funds hedge funds fixed income third party managers multicredit and bonds and perform regular monitoring of their performance.
- Analyze financial statements and build financial models and independent valuation to form an inhouse view on target investments.
- Attend strategy and briefings meetings/calls with banks advisors and thirdparty managers and propose rebalancing recommendations across asset classes and/or geographies to PM/HOLI based on the views of meetings and in alignment with investment mandate and inhouse views; and
- Prepare annual strategy notes on the outlook of different asset classes under international listed category and quarterly update the same.
B. Other Ancillary Roles
- Per need support to Operations Department on MIS reporting issues Portfolios risk profile presentation Board presentation etc. and on supply of required information on portfolio.
- Support to PM/HOLI in periodic qualitative performance reporting in respect of portfolio including Managers performance report.
Qualifications :
- Graduation in Business/Commerce/Economics
- MBA and/or CFA Charter holder preferred but not essential.
Additional Information :
Experience:
- Minimum 5 to 6 years of research and investment experience of which atleast 3 to 4 years focusing on the international markets.
Skills & Abilities:
- Good communication skills
- Focused disciplined hardworking and proactive with strong ethical and moral standards.
- An avid regional and international micro/macro news reader with a questioning mindset of and ability to visualize impact of various micro/macro developments on existing and prospective investment universe.
Remote Work :
No
Employment Type :
Fulltime