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Posted in
Banking & Finance
Job Code
1492266
Company Name : Xerago Securities
Location : Chennai | Onsite
Experience : 1-5 Years
Job Title/Role : Research Analyst - Fundamental
Job Description:
- Analysing companies: Preparing financial models, analysing companies, and valuing them
- Tracking events: Monitoring global markets, including equity markets, and analysing their effects on local stock markets
- Tracking stock movements: Tracking daily and monthly stock movements, and analysing reasons for them
- Tracking news: Keeping up with daily news, including political announcements, company announcements, and cabinet decisions
- Building Screeners: Developing Screeners to identify potential stocks for further research
- Automation: Strong understanding of the latest tools to automate the stock screening and research process
- Research reports: Writing reports on stock analysis, Industry analysis and stock markets
- Product Notes: Writing a detailed Product Note with all information including data to support the strategy
- Systems: Good understanding of the Trading Systems and trade execution process to limit latency and slippages
- Collecting data from various sources, such as financial reports, public databases, and surveys
- Analysing data using statistical tools and analytical methods
- Identifying trends, patterns, and insights
- Preparing presentations to summarize findings and analysis
- Providing insights to support decision-making processes
- Managing research project
Investment Management:
- Oversee the development and implementation of investment strategies and asset allocation models.
- Monitor market trends and economic indicators to make informed investment decisions.
- Ensure adherence to the firm's investment policies and risk management guidelines.
Compliance and Risk Management:
- Ensure the firm's practices comply with SEBI regulations and other relevant legal requirements.
- Conduct periodic audits and reviews to maintain high standards of regulatory compliance.
- Implement and monitor internal controls to manage and mitigate risks effectively.
Qualifications:
- Bachelor's degree in finance, economics, business administration, or a related field; advanced degrees (MBA, CFA, CFP) preferred.
- Ability to consume, distill large quantities of information and develop insights from vast sources of information, including research reports, industry news, daily news publications, company press releases, etc.
- Relevant experience in mathematics, statistics, computer science, or finance preferred
- NISM Series XV and Series X A&B certification
- Minimum of 5-10 years of experience in stock analysis and selection
- Deep knowledge of SEBI regulations and compliance requirements.
- Proven ability to develop and execute strategic initiatives.
- High ethical standards and a commitment to acting in clients' best interests.
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Posted By
597
JOB VIEWS
169
APPLICATIONS
18
RECRUITER ACTIONS
See how you stand against competition
Pro
View Insights
Posted in
Banking & Finance
Job Code
1492266
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