Augmenta Asset Manager LLP – Equity Research Analyst (Buy Side)Augmenta Asset Manager LLPis seeking an experienced Equity Research Analyst with 3+ years of relevant experience to join our team.Responsibilities: Conduct in-depth fundamental analysis of investment opportunities within the Indian public equity markets. Stay abreast of industry trends, macroeconomic developments, and market movements to inform investment decisions. Build, update, and maintain sophisticated financial models to evaluate potential investments. Perform detailed research on industry dynamics, competitive landscapes, and sectoral trends. Prepare high-quality research reports, investment presentations, and regular market updates. Track corporate announcements, government policies, and assess their impact on equity markets and portfolio performance. Continuously monitor developments in portfolio companies through media reports, corporate disclosures, and earnings releases. Regularly analyze portfolio performance and contribute insights in research meetings and discussions. Willingness to travel for site visits, management meetings, and industry conferences.Requirements: CA, CFA, or MBA in Finance. A minimum of 3 years of experience in Indian equity markets (preferably in buy-side research roles). Strong market knowledge with a keen awareness of recent developments in the Indian equity space. Expertise in financial analysis, including the ability to build and interpret financial models and evaluate financial statements. Ability to foster a collaborative and high-performance team environment through constructive contributions. High standards of integrity and professionalism in all aspects of work. Mumbai-based candidates are preferred; however, hybrid working arrangements will be considered.Application Process:Interested candidates should send the following tojobs@ : Updated CV (attached). Bullet-point summary of education and experience (in the body of the email). Current compensation details (in the body of the email). A 500-word investment memo/idea with rationale (in the body of the email), including: Macro Rationale : Key economic or market trends that support the investment thesis. Sector Rationale : Insights into the sector’s growth prospects, opportunities, and risks. Company Rationale : A detailed analysis of a specific company within the sector, including its financial health, competitive positioning, and growth potential.About Augmenta Asset Manager LLP:Augmenta Asset Manager LLP is a Category III AIF, focused on cutting-edge research and analysis of the Indian equity markets. Our goal is to generate sustainable alpha for our clients by applying deep analytical insights and superior research capabilities.Please ensure that all the steps mentioned in theapplication processare completed before the candidate applies. An incomplete application runs the risk of not getting processed.
Job Title
Equity Research Analyst