- Financial Analysis: Conduct in-depth analysis of financial statements, balance sheets, income statements, and cash flow statements of various companies.
- Market Research: Monitor and analyze market trends, macroeconomic factors, industry developments, and regulatory changes that may impact stock prices and investment opportunities.
- Company Analysis: Evaluate the performance, competitive positioning, and growth prospects of individual companies across different sectors.
- Valuation: Utilize various valuation techniques such as discounted cash flow (DCF), comparable company analysis (CCA), and relative valuation methods to assess the intrinsic value of stocks.
- Risk Assessment: Identify and assess potential risks associated with specific investments, including financial risks, regulatory risks, and market volatility.
- Investment Recommendations: Generate investment recommendations based on comprehensive research and analysis, including buy, sell, or hold recommendations for individual stocks or portfolios.
- Client Communication: Communicate research findings, investment strategies, and recommendations to clients through written reports, presentations, and client meetings.
- Portfolio Management: Assist portfolio managers in constructing and managing investment portfolios by providing insights on asset allocation, sector diversification, and stock selection.
- Continuous Learning: Stay updated with the latest market trends, industry developments, and investment strategies through continuous learning, attending seminars, and networking with industry professionals.
--Master's degree in Finance, Economics, Business, or related field. Advanced degree (e.g., MBA, CFA) preferred.
Job Types: Full-time, Permanent, Fresher
Salary: ₹180,000.00 - ₹250,000.00 per year
Benefits:
- Health insurance
Schedule:
- Day shift
Supplemental pay types:
- Performance bonus
- Quarterly bonus
- Yearly bonus
Experience:
- total work: 1 year (Required)
Work Location: In person
Speak with the employer
+91 7778883655