Investment Research Analyst - Investment Portfolio
Job Responsibilities:
- Data Interpretation: Interpret data from the underlying portfolio, using statistical techniques to analyze results and provide ongoing reports.
- Coordination: Collaborate with various advisors to acquire relevant data and ensure the maintenance of accurate databases.
- Market Knowledge: Maintain a comprehensive understanding of mutual funds, stocks, and other financial instruments.
- Research: Conduct both fundamental and technical research to support investment decisions.
- Financial Instruments Expertise: Experience with equities, fixed income, and mutual funds.
- Professional Qualification: Preferably hold a recognized professional qualification (CFA, CFP, CA) with relevant work experience.
- Software Proficiency: Expertise in MS Excel, PowerPoint, and Word.
Requirements:
- Analytical Skills: Strong analytical skills with attention to detail.
- Data Management: Ability to work with large datasets and derive meaningful insights.
- Communication: Excellent communication and coordination skills.
- Market Knowledge: In-depth knowledge of financial markets, including mutual funds and stocks.
- Graduation/Post Graduation, Recognized professional qualifications such as CFA, CFP, or CA.
- Relevant work experience in stock research or stock advisory
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