Responsibilities:
* Conduct thorough research and analysis of individual stocks, sectors and industries to identify investment opportunities and risks.
* Analyze financial statements, market trends, economic indicators and regulatory changes to assess the impact on stock prices and investment strategies.
* Develop and maintain financial models using various valuation techniques such as DCF, CCA and relative valuation.
* Generate investment recommendations based on research findings, valuation analysis and risk assessment.
* Prepare and present research reports, investment thesis, and market updates to clients, portfolio managers.
* Stay updated with market developments, industry trends, financial technologies and quantitative analysis tools to enhance research capabilities.
Qualifications:
* Bachelor's degree in finance, economics, or a related field (Master's degree preferred).
* Proven experience as a stock market research analyst.
* CFA, CAIA or other relevant certifications are a plus.