Key Responsibilities: Conduct in-depth fundamental research on companies and industries across global markets. Build and maintain detailed financial models to assess valuation and growth prospects. Generate actionable investment ideas and present them to Portfolio Managers. Monitor portfolio holdings and market developments to provide timely insights. Collaborate with colleagues to contribute to the fund’s overall investment strategy. Candidate Skills & Experience: Minimum of 7-10 years of experience in equity research, preferably buy side. Strong analytical skills with a proven ability to interpret financial statements and assess business models. A self-starter with a passion for investing and a commitment to continuous learning. An ability to work independently as part of a team environment. CFA designation is a plus.