Conduct analysis of a list of stocks in the firm’s approved list;
Use all sources available to formulate a view on the stocks under the assigned coverage. This would include sources within the company as well as other industry sources, and external sources such as sell-side brokers and third-party research providers;
Initiate new stock ideas with a rating on each stock in the approved list;
Publish regular review reports on stocks in the approved list;
Communicate actively your views to PMs via written reports, voice mails, e-mails, and face-to-face meetings;
Participate in daily morning meeting and other research meetings to provide market/sector/stock related commentary to the Asia Pacific (ex-Japan) team to share investment ideas; and
Provide prompt update and recommendation on stocks held I the firm’s portfolios in the event of breaking news/material information.
At least 2 years of analytical experience in research or investment management role within banking, brokerage, asset management or fund house working environment;
Critical and creative thinker who can work under pressure in a performance-driven environment;
Able to construct, articulate and recommend a concise investment thesis with conviction;
Possesses strong fundamental financial analysis skills, and has a deep appreciation and understanding of valuation techniques;
Has initiatives, is a self-starter and able to work independently within a well-defined investment framework;
Excellent communication and interpersonal skills;
Has a passion for stock picking;
Able to hit the road running; and
Experience in accounting/audit matters will be an added advantage.
Please be informed that only shortlisted candidates will be notified.