Posted By
Posted in
Banking & Finance
Job Code
1368518
1) Critical
- In depth understanding of the sector
- Should understand all companies falling under the said sectors.
- Should be well verse with trends in the industry, key players and their competitive strategies and strengths.
- Understand sector dynamics and prepare detailed Financial and valuation model with ability to understand and formulate business drivers (revenue, cost, etc.) of the companies under coverage.
- Estimate future income statement for the company based on its current performance
- Writing Research reports with investment recommendations by means of Company initiation reports followed by event based and Quarterly earning reviews and preview and analyse quarterly variances. Conduct Road shows for companies under coverage of domestic and offshore clients.
2) Routine
- Conduct ground checks, market analysis to assess prevalent financial and economic environment, identifying business risk and their impact on the company valuation and stock fair value
- Superior Knowledge of concepts of finance & accounting, valuation methodologies and stock analysis
- Strong writing skills with the ability to lay out investments arguments and theses lucidly.
- High level communication skills with the ability to express views clearly on investment ideas to investors (clients).
- Make presentations to the Client, fund house investment philosophy, market outlook, sector positioning, stock selection rationale, performance update, competitive positioning etc.
Skill Criteria :
Educational Qualifications: MBA / CA
Experience: 5-9 years of experience in equity research
Domain Knowledge: Equity research
IT Skills: MS Office and Business Intelligence Applications
Didn’t find the job appropriate? Report this Job
Posted By
Posted in
Banking & Finance
Job Code
1368518