Drive stock selection using a contrarian, bottom-up, benchmark-agnostic, absolute-return, deep value approach, covering companies across all sectors, regions, and value situations. Build robust financial models, apply sensitivity and scenario analysis, and validate assumptions through primary and secondary research.
Requirements
- Strong academic credentials
- 3–5 years of relevant professional experience
- Background in Investment Banking (IBD), Sell-Side Research, or Buy-Side Asset Management
- Clear commitment to value investing
- Demonstrated contrarian mindset
- Strong fundamental research skills
- Proven ability to generate original insights
- Broad coverage capability
- Demonstrated capacity to think in probabilities
- Experience in Emerging Markets is preferred
- Comfort operating with imperfect information
- Excellent written and verbal communication
- Proven ability to work independently and collaboratively
- Highly organized, with strong prioritization skills
- High integrity, intellectual curiosity, resilience, and self-starter mentality
Benefits
- Competitive salary
- Benefits package
- Opportunities for career growth and development