Portfolio Analyst
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A high performing and ambitious individual, demonstrating drive, enthusiasm, and initiative, with the ability to work well under pressure, consistently delivering quickly and accurately and able to prioritise to ensure deadlines are met whilst maintaining a high standard of analysis and insight. As a recent M.Sc. Finance and Investment graduate, I am interested in your firm's graduate/junior opportunities to progress my career.
I am looking forward to playing a vital role in financial decision-making concerning investments and to showcase and develop financial skills obtained through my education and work experience.
I have gained exposure to various financial data platforms including Bloomberg and Eikon in which I carried out fundamental and technical analysis on equities, bonds, and funds. I have developed excellent analytical skills through economic models and theories studied across various modules in my degree. My data analysis skills have been crafted on the extensive usage of Excel, EViews, and Stata in Econometrics.
Working hard and being motivated to achieve my best has built a persistent personality and growth mindset. I enjoy acquiring new knowledge, and I am always keen to learn new skills and gain new experiences. Confidence, communication skills, and the ability to work as a team are the characteristics that I have developed and improved through various work experiences listed below.
1 Portfolio Analyst – Newton Investment Management - September 2022 – Current role (6 months contract)
Tasks: Administration duties regarding client delivery, talking to clients to solve queries and issues , processing withdrawals, transfers, ISA and GIA applications
University of Kent 2017- 2020
B.Sc. Financial Economics Degree Result: 2.1 Attained
Financial Accounting, Reporting and Analysis: 84% , Mathematics: 89% , Data Analysis for Economists: 77%
Statistics: 70% , Financial Economics: Financial Markets and Instruments: 78%,
Financial Economics and Asset Pricing: 90%, Monetary Economics: 72% , International Finance: 67%
Econometrics I: An Introduction to Modern Econometrics using Stata: 60%
Loughborough University 2020- 2021 M.Sc. Finance and Investment Degree Result: Merit
Modules: Methods of Financial Data Analysis, Principles of Finance, Financial Markets and Institutions, Financial Reporting and Company Performance, Portfolio Management, International Finance Management, Derivatives and Risk Management, Business Communication, Global Investment Analysis, Corporate Governance, Financial Trading, Performance Appraisal and Stock Valuation.