Research Analyst
- Risk Management
- Outlook
- Excel
- Equity
Job Description
Job Title- Equity Research Analyst- PMS
Division- Investments
Location- Mumbai, Maharashtra
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:
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Brandon Hall Group HCM Excellence Awards for Learning & Development 2022 - Silver Award
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Morningstar Awards 2022: Best Fund House: Equity, Debt & Overall
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Outlook Money Awards 2021: GOLD in Equity AMC of the Year 2021
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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.
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?
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Derive quantitative information by making models that assist the fund management team in making investment decisions
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Assist in improving research quality and make buy/ sell recommendations to the fund management team
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Prepare brief analysis reports on individual companies, the sector, and on industry sub-groups by collecting information from independent sources of information and contacts
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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?
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Good Understanding of financial market and investment products
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Knowledge about financial statement analysis, understanding of company’s fundamentals in terms of nature of its business, growth dynamics, cost structure, and competitive positioning
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Good understanding of industry structure, its growth & profitability drivers, competitiveness levels and linkages to GDP movements.
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Knowledge of investment appraisal, valuation techniques and theories about portfolio management
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Ability to read and absorb acknowledged research papers and testing their assertions / findings using quantitative models.
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Proficient in financial, mathematical, and statistical techniques
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Excellent advanced excel-based modelling skills
Research Analyst · Axis Mutual Fund