01Key Responsibilities
Conduct in-depth research and analysis of various investment portfolios and products, including Mutual Funds, AIFs, PMS, InVITs, REITs, Treasury portfolios, and ULIPs Develop and maintain a thorough understanding of portfolio analytics and manager research, with a focus on identifying trends, opportunities, and risks Provide actionable insights and recommendations to support informed investment decisions Collaborate with cross-functional teams to ensure seamless integration of research findings into investment strategies
02Requirements
Strong experience in portfolio analytics and manager research, preferably covering Mutual Funds, AIFs, PMS, InVITs, REITs, Treasury portfolios, and ULIPs Proven track record of conducting comprehensive quantitative and qualitative research Excellent analytical, communication, and interpersonal skills Ability to work in a fast-paced environment and meet deadlines Strong understanding of the Indian financial markets and investment landscape Preferred Qualifications: MBA Finance and CA or CFA degree 10+ years of experience in research, analysis, or portfolio management Strong knowledge of financial modeling, data analysis, and statistical tools Open Positions 1 Mandatory Skills Investment Products,Mutual Fund Research,Fixed Income Analysis,Portfolio Analysis,Alternative Investment Fund,Product Management Education Qualification CA / MBA / PGDM Experience 12 to 15 years .