Full TimeEquity Research
Posted 3 April 2026
Job description
Role Overview:
As a mid-level Global Equity Research Analyst at our buy-side investment team, your primary responsibility will be to generate differentiated, high-conviction investment ideas through deep fundamental research and sector insight.
You will play a crucial role in supporting portfolio decision-making by analyzing public equities across global markets and identifying relative value opportunities.
Key Responsibilities:
- Investment Idea Generation:
- Identify alpha-generating opportunities by conducting thorough company and industry research.
• Formulate independent investment theses backed by qualitative and quantitative analysis (excluding model building).
• Research & Sector Analysis:
- Monitor key developments within a specified universe of companies and industries.
• Keep track of earnings reports, regulatory updates, industry trends, and macroeconomic data with potential investment implications.
• Communication & Decision Support:
- Prepare research briefs, pitch decks, and internal reports to aid portfolio decisions.
• Contribute to team discussions by offering a forward-looking perspective on sector positioning and company performance.
Qualifications:
- Bachelor's degree in Engineering, Finance, Economics, or a related discipline; a CFA or MBA in Finance from a Tier 1 College is preferred.
• Prior experience in equity research (preferably on the buy-side), strategy, or consulting is desirable.
• Possess strong analytical thinking skills and the ability to interpret data and corporate disclosures without heavy reliance on in-depth financial modeling.
• Show a deep interest in markets and demonstrate a proactive approach to continuous learning and idea development.
(Note: No additional details of the company were mentioned in the job description.) Role Overview:
As a mid-level Global Equity Research Analyst at our buy-side investment team, your primary responsibility will be to generate differentiated, high-conviction investment ideas through deep fundamental research and sector insight.
You will play a crucial role in supporting portfolio decision-making by analyzing public equities across global markets and identifying relative value opportunities.
Key Responsibilities:
- Investment Idea Generation:
- Identify alpha-generating opportunities by conducting thorough company and industry research.
• Formulate independent investment theses backed by qualitative and quantitative analysis (excluding model building).
• Research & Sector Analysis:
- Monitor key developments within a specified universe of companies and industries.
• Keep track of earnings reports, regulatory updates, industry trends, and macroeconomic data with potential investment implications.
• Communication & Decision Support:
- Prepare research briefs, pitch decks, and internal reports to aid portfolio decisions.
• Contribute to team discussions by offering a forward-looking perspective on sector positioning and company performance.
Qualifications:
- Bachelor's degree in Engineering, Finance, Economics, or a related discipline; a CFA or MBA in Finance from a Tier 1 College is preferred.
• Prior experience in equity research (preferably on the buy-side), strategy, or consulting is desirable.
• Possess strong analytical thinking skills and the ability to interpret data and corporate disclosures without heavy reliance on in-depth financial modeling.
• Show a deep interest in markets and demonstrate a proactive approach to continuous learning and idea development.
(Note: No additional details of the company were mentioned in the job description.)