Research Analyst
- Risk Management
- Outlook
- Excel
- Bloomberg
- Equity
Job Title- Equity Analyst - Banking
Division & Department- Investments, Equity
Who we Are?
Axis Asset Management Company Ltd (Axis AMC) was founded in 2009 and is amongst India ‘s largest and fastest growing mutual fund. We serve 1.3+ Cr customers and associates with highest humility across 100+ cities.
Our success is attributable to 3 founding principles- Long Term Wealth Creation, Outside-in (Customer) View & Sustainable Relationships. Our investment philosophy embraces culture of risk management. It encourages our partners & investors to transition from transactional investing for quick gratification to investing for fulfilment of critical life goals.
Thus, our endeavour is to offer a basket of investment solutions which helps customers create a financially independent & happier tomorrow.
Our recent accolades:
· Brandon Hall Group HCM Excellence Awards for Learning & Development 2022 - Silver Award
· Morningstar Awards 2022: Best Fund House: Equity, Debt & Overall
· Outlook Money Awards 2021: GOLD in Equity AMC of the Year 2021
· World Leadership Congress & Awards 2022: Business Transformation Leadership Awards – Digital Transformation Project (Mobile App)
Why Join Us?
At Axis, our constant endeavour is to provide a career path for job seekers which is laden with learning & winning. We foster a culture where success is celebrated.
Our Equity Investment team invests in portfolio of companies to generate capital gains and dividends. Our approach towards equity investing is based on looking for quality and keeping a tab on key risks (liquidity, volatility, business, size, etc.) at every step, eventually leading to outperformance over benchmark and peers over medium & long term. We aim to protect not only capital but also return.
We’re looking for an enthusiastic individual who has a knack for analytics to research and analyse the performance and reports of various companies across different industries and report the information and findings.
What you will Do?
· Derive quantitative information by making models that assist the fund management team in making investment decisions
· Assist in improving research quality and make buy/ sell recommendations to the fund management team
· Write brief analysis reports on individual companies, the sector, and on industry sub-groups by collecting information from independent sources of information and contacts
· Maintain an extensive coverage list and respond timely to breaking news developments on companies throughout the assigned sector(s)
What makes you a Great Fit?
· Postgraduate with 6-10 years of experience
· Good Understanding of Equity markets and investment products
· Excellent technical skills (Word, Excel, Bloomberg, Reuters)
· Strong analytical skills
Research Analyst · Axis Mutual Fund