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Job Views:  
159
Applications:  62
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Job Code

1694831

Skybridge Capital - Multi-Asset Investor

Skybridge Capital.5 - 10 yrs.Mumbai
Posted 2 days ago
Posted 2 days ago

Company Overview:

Skybridge Capital is a global alternative investment firm specializing in hedge fund solutions and opportunistic investing. With a focus on delivering consistent, risk-adjusted returns, Skybridge leverages its deep industry expertise and extensive network to identify and capitalize on unique investment opportunities across various asset classes. The firm operates globally, managing assets for a diverse client base, including high-net-worth individuals, family offices, and institutional investors.

Role Overview:

As a Multi-asset Investor based in Mumbai, you will be a key member of the investment team, responsible for conducting in-depth research and analysis across a range of asset classes, including public and private equities, fixed income, and alternative investments. You will work closely with senior portfolio managers to develop and implement investment strategies, contributing to the overall performance of the firm's multi-asset portfolios. Your insights and recommendations will directly impact investment decisions and contribute to delivering superior returns for our clients.

Key Responsibilities:

- Conduct comprehensive investment research and due diligence on potential investment opportunities across various asset classes, including public and private equities, fixed income, venture capital, and alternative investments, to identify attractive investment prospects.

- Develop and maintain financial models and valuation analyses to support investment recommendations, providing critical insights for portfolio construction.

- Monitor macroeconomic trends and market developments to assess their potential impact on portfolio performance, enabling proactive adjustments to investment strategies.

- Collaborate with senior portfolio managers to develop and implement investment strategies aligned with the firm's overall investment objectives, contributing to the achievement of targeted returns.

- Prepare and present investment recommendations to the investment committee, effectively communicating research findings and supporting rationale.

- Contribute to the ongoing monitoring and risk management of existing portfolio holdings, ensuring adherence to investment guidelines and risk parameters.

Required Skillset :

- Demonstrated ability to conduct rigorous investment research and analysis across multiple asset classes, including equities, fixed income, and alternative investments.

- Strong financial modeling and valuation skills, with the ability to develop and interpret complex financial models.

- Deep understanding of macroeconomic principles and their impact on financial markets.

- Excellent communication and presentation skills, with the ability to articulate complex investment ideas clearly and concisely.

- Proven ability to work effectively in a collaborative team environment.

- A Master's degree in Finance, Economics, or a related field, or an MBA from a top-tier institution.

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Job Views:  
159
Applications:  62
Recruiter Actions:  1

Job Code

1694831