Equity Research Analysts
Equity Research Analyst (3-7 Years' Experience)
Asset Manager | London
We are currently partnered with a $10billion Global macro and thematic investment manager, renowned for its intellectually rigorous investment process and collaborative culture. They are seeking Equity Research Analysts to join their London-based investment team and contribute to the generation of high-conviction investment ideas across global equity markets.
This opportunity is open to candidates from both the buy-side and sell-side, with expertise in TMT, Cyclicals, or a broader Global Generalist background.
The Opportunity
Working in a single PM set up, you will be responsible for identifying differentiated investment opportunities through a combination of fundamental research, thematic analysis, and macroeconomic insight.
This role offers a unique opportunity to move beyond traditional sector research and contribute to a highly integrated investment process where global macro trends and structural themes are central to idea generation.
Key Responsibilities
- Conduct deep fundamental research on listed global equities.
- Develop high-conviction investment recommendations supported by detailed financial modelling and valuation work.
- Analyse how macroeconomic developments, policy changes, and structural themes impact companies, sectors, and industries.
- Work across sectors or leverage specialist expertise in:
- Technology, Media & Telecommunications (TMT)
- Cyclicals (Industrials, Consumer Discretionary, Transportation, Capital Goods, Building Materials, etc.)
- Global Generalist Coverage
- Collaborate closely with the broader investment team to refine thematic investment views and portfolio positioning.
Candidate Profile
We are interested in speaking with candidates who possess:
- 3-7 years of equity research experience gained at an investment bank, asset manager, hedge fund, family office, or institutional investor.
- Strong company analysis, financial modelling, and valuation skills.
- Experience covering TMT, Cyclicals, or multiple sectors as a generalist.
- A genuine passion for thematic/macro investing (top down sector research) and financial markets.
- Demonstrated ability to think independently and generate differentiated investment ideas.
- Strong written and verbal communication skills with confidence presenting investment views to senior stakeholders.
FAQs
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