
Emirates NBD
Analyst β Equities
- Permanent
- Dubai, United Arab Emirates
- Experience 2 - 5 yrs
Job expiry date: 03/04/2026
Job overview
Date posted
18/02/2026
Location
Dubai, United Arab Emirates
Salary
Undisclosed
Compensation
Comprehensive package
Experience
2 - 5 yrs
Seniority
Experienced
Qualification
Bachelors degree
Expiration date
03/04/2026
Job description
The Analyst β Equities at Emirates NBD Asset Management is responsible for conducting in-depth fundamental research and analysis on companies and sectors to support portfolio management strategies. The role involves building financial models, assessing company valuations, monitoring equity performance, and generating actionable investment recommendations. The analyst collaborates closely with the Head of Equity Research and portfolio managers to align research outputs with investment objectives and client needs. Responsibilities also include preparing detailed research reports, presenting findings at investment committee meetings, maintaining research databases, and ensuring that insights are data-driven and aligned with portfolio construction strategies. The role requires strong analytical capabilities, deep knowledge of equity markets, and effective communication with internal stakeholders.
Required skills
Key responsibilities
- Conduct fundamental research and analysis on companies and sectors to support investment decisions
- Develop and maintain financial models to assess valuations and potential returns
- Monitor performance of equities under coverage and track market developments
- Provide actionable insights and recommendations to portfolio managers
- Collaborate with the Head of Research to align research with portfolio management strategy
- Contribute to security selection and portfolio construction decisions
- Present research findings and recommendations at investment committee meetings
- Prepare detailed equity research reports including financial analysis and market outlook
- Maintain up-to-date research databases and documentation of recommendations
- Communicate effectively with internal stakeholders to address research requirements
Experience & skills
- 3β5 years of experience in equity research or financial analysis
- Experience analyzing global markets and sectors preferred
- Bachelorβs degree in Finance, Economics, or related field
- CFA certification highly preferred
- Strong financial modeling and valuation skills
- Deep understanding of equity markets and investment strategies
- Excellent written and verbal communication skills
- Ability to collaborate effectively with portfolio managers and senior management
- Proficiency in financial analysis tools and research software