Equity analyst for the insurance and non-bank financials sector in Emerging EMEA, Asia and Latin America.
Direct accountability for investment outcomes. Previous sector experience in a senior analyst role either in Asset Management or a closely related business is essential
Strategic analysis of investment opportunities in the Emerging Markets insurance and diversified financials sectors.
Create and update company models, driving fundamental valuation signals based on a common long-term valuation methodology
Work closely with portfolio managers to translate research insights into investment decisions; analysts are closely integrated into the investment process and are partly compensated on the relevant research signal and investment outcomes
Work closely with colleagues who are covering the banks sector across global emerging markets
Host one-on-one meetings with company managements and maintain a regular dialogue with companies under coverage
Constant and pro-active communication with portfolio managers and other team members, both verbal and written; clear articulation of investment ideas and judgements
Successful candidates should have at least 5 years of relevant investment experience; prior experience in the insurance sector is highly desirable; prior experience in emerging markets is also desirable but not essential
Key skills are analytical skill, measured investment judgement, decision-making, intellectual curiosity, intellectual honesty, teamwork, pro-active communication
Successful candidates should be pro-active in finding new investment ideas as well as thorough in understanding, valuing and maintaining coverage on existing investments
This is a demanding job requiring highly motivated individuals who are willing to work hard to build up their knowledge base, performance track record and credibility within the team
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