Responsibilities :
- Work closely with fund management team in identifying & analyzing stock ideas, sector research, studying macro-economic parameters
- Supporting detailed modelling of company financial
- Researching coverage for specific companies and sectors
- Analyzing investment opportunities in Equity Markets
- Iterating frequently with the fund manager on financial models and investment research
- Attending management/intermediary/sector expert calls
- Daily monitoring of client portfolios.
Skills :
- CA or at least cleared CFA level 2
- Excellent Communication Skills
- Strong analytical skills
- Strong passion in listed equity Indian market
Location : Job location would be based out of Chennai.
About Unifi Capital :
Unifi was established in 2001 as a specialized Portfolio Management company offering innovative investment strategies with superior risk adjusted returns. More details are available on website: www.unificap.com.
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