Collaborate with teams to define research objectives, scope, and methodologies for various projects, ensuring alignment with organizational goals.
2. Conduct thorough research on financial markets, including equities, commodities, and derivatives.
3. Analyse macroeconomic trends, geopolitical factors, and global events that could impact financial markets.
4. Monitor and assess company-specific news, earnings reports, and other relevant information to evaluate investment opportunities.
5. Gather financial data from various sources, such as stock exchanges, financial databases, and regulatory filings.
6. Utilize quantitative and qualitative analysis techniques to interpret data, identify patterns, and extract meaningful insights.
7. Analyse historical price movements, trading volumes, and volatility to identify potential trends and opportunities.
8. Provide recommendations on asset allocation, sector preferences, and individual stock picks. Collaborate with portfolio managers and traders to develop investment strategies based on research findings.
9. Prepare research reports, investment outlooks, and market commentaries that provide clear and actionable insights for clients and internal teams.
10. Perform technical analysis by studying price charts, patterns, and technical indicators to predict future price movements.
11. Stay updated with market trends, regulatory changes, and industry developments that