The firm has a disciplined, long-term investment approach with a focus on identifying and investing in high-quality companies. The responsibilities of the individual in this position include: Conducting in-depth fundamental research on publicly listed companies across various sectors Developing and maintaining financial models to support investment decisions Generating and presenting stock ideas for inclusion in the firm’s portfolios Producing detailed research reports that provide insightful analysis and recommendations Keeping up-to-date on existing portfolio holdings, ensuring timely and informed decision-making Participating in company meetings and conferences Requirements: 2-5 years of buy-side equity research experience from an investment firm with a strong track record Proven passion for investing Track record of outstanding academic performance Professional qualifications such as CFA or ACA are highly desirable Strong financial modelling skills Self-aware, humble and growth oriented Intellectual curiosity and a deep-seated drive to expand knowledge Hard working and a desire to continuously improve as an investor