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Equity Research Analyst

8 000 – 14 000 $
Full time3–6 yearsOn-siteSingapore

Location

RAFFLES PLACE, REPUBLIC PLAZA

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About this job

Lombard Odier Investment Managers (“LOIM”) is the asset management business of the Lombard Odier Group. In order to strengthen our Asia Investment team, we are looking for a:

Equity Research Analyst

Our Asia Public Equities team, based in Singapore, runs concentrated, high-conviction portfolios investing across Asian public markets, with deep specialist coverage in China, India, and ASEAN. The team combines bottom-up fundamental research with a disciplined, long-term investment philosophy, seeking out a small number of exceptional businesses rather than broad index-like exposure.

The Role

We are looking for an Equity Research Analyst to join our Asia Public Equities team in Singapore, contributing differentiated, high-conviction stock ideas to concentrated portfolios. You will own primary research coverage of companies within your area of specialism which will primarily be the India and other EM/Asean markets, building deep, proprietary knowledge of sectors, business models, and management teams, and translating this into actionable investment recommendations.

Key Responsibilities

• Generate original, high-conviction investment ideas through in-depth fundamental research, including financial modelling, valuation analysis, and primary due diligence

• Maintain deep coverage of a core universe of companies in primarily in India and other markets where needed, with the flexibility to research opportunities across the broader Asian public equity landscape

• Conduct company meetings, management calls, site visits, and expert network conversations across the region to build differentiated insight, including regular travel within Asia

• Build and maintain detailed financial models and valuation frameworks

• Present and defend investment theses to portfolio managers and the wider investment team, including through formal stock pitches

• Monitor portfolio holdings on an ongoing basis, tracking thesis progression, catalysts, and risk factors

• Contribute to portfolio construction discussions and risk management given the concentrated nature of the strategy

• Stay close to macro, regulatory, and policy developments across Asian markets relevant to portfolio positioning, leveraging the team’s on-the-ground presence in Singapore

Candidate Profile

• 5–8 years of relevant experience in equity research, ideally within a buy-side high-conviction/concentrated fund, hedge fund, or a highly regarded sell-side research franchise

• Demonstrated expertise and established professional network in Indian equity markets relevant to the investment strategy

• Have strong links with domestic Indian firms, brokerages and the broader finance eco-system. Preferably, conversant in Hindi and/or have a strong understanding of local knowledge

• Track record of generating original investment ideas that have translated into strong portfolio performance

• Strong financial modelling, valuation, and analytical skills

• Based in Singapore or willing to relocate to Singapore

• Excellent written and verbal communication skills ,with the ability to present investment conviction clearly and concisely to portfolio managers

• CFA designation or progress toward CFA preferred

• Degree in Finance, Economics, Business, or a related field from an accredited university

Market insight

129% above median
4 800 $

Based on 77 801 offers with salary for this country

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