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Equity Research Analyst; Tier-1 Asset Manager

  • Job type: Permanent
  • Location: London
  • Salary: Competitive
  • Job reference: SJ- 0202 - MAGD
  • Sector: Buy Side, Asset Management, Selby Jennings
  • Date posted: 02/02/2018
My client is a global Tier-1 Asset manager looking for an Equity Research Analyst for the London office. This Analyst will be part of the regional research team, providing investment recommendations to Portfolio Managers locally and globally.

Key Responsibilities
• Analysis of a list of stocks allocated by the Director of Research; typically around 25-30 names.
• Ramp coverage on those names; typically within 12 months.
• Use all sources available to formulate a view on the stocks under your assigned coverage. This would include sources within the company as well as other industry sources such as competitors and customers, and external sources such as sell-side brokers and third-party research providers.
• Maintain a current rating on stocks on the assigned coverage list. Ratings go from 1 (strong buy) to 5 (strong sell).
• Publish regular reports.
• Communicate views to PMs
• Host meetings on companies on list for PMs.
• Provide an industry update annually on the industries under your assigned coverage.

Experience and Qualifications Required
• MBA or relevant degree
• At least 5-7 years of relevant experience in the financial industries
• Candidates with less experience will be considered for Research Associate role
• Excellent financial analytical skills
• Avidly interested and have a passion for the stock market and has demonstrated this interest through either previous work or personal investment
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