The incumbent will be a key member of the Framlington Healthcare Equity Investment team, responsible for the active management of Equity portfolios. With core responsibility across the research brief, depending upon experience, the successful candidate will also have the opportunity to contribute immediately, or progress towards co-manager level responsibility.
Conduct fundamental analysis of the allocated stocks within the investment team, and produce regular updates on the progress of the companies concerned.
Participate in investment committees and be proactive in promoting ideas under the given process of the team.
Keep abreast of market externalities and contribute to sharing and collaborative work environment.
The successful candidate could gain exposure to co-management of funds and/or mandates, working with the other fund managers and ensuring that the funds operate within client and regulatory guidelines.
Ensure, where necessary, the implementation of corporate policies and programmes approved by management and the investment committees.
Pro-active participation in supporting continuous improvement of investment processes.
Understand and conform to Framlington’s compliance requirements.
Actively promote the franchise from the fund management side, in strong partnership with the Product Specialists and Sales.
Actively and openly communicate with clients on performance, being transparent and honest in all communications.
A scientific university degree and CFA qualification or equivalent in a relevant subject and/or relevant formal training, plus some experience in a similar related role is desirable.
Experience in global equity healthcare investment from a research perspective and potentially with portfolio management experience.
Experience working in an international/ multi-location team desirable.
Knowledge and Skills
General knowledge of world markets/economics and politics.
Financial modelling skills.
Experience in equity healthcare research. Science/medical based degree preferred.
Fluent English both written and oral.
Ability to analyse new industries/companies in a timely manner.
Credibility of skill set/experience to third parties.
Attention to detail and thoroughness in portfolio management.
Willingness to share ideas with other team members.
Ability to work well as part of a team with other investors.
Ability to work autonomously and manage time effectively.
Good communication skills
Excellent marketing, presentational and client relations skills.
Personal maturity (ability to stand back).
Strength of conviction and constructive mindset.Would you like to wake up every day driven and inspired by our noble mission and to work together as one global team to empower people to live a better life? Here at AXA we strive to lead the transformation of our industry. We are looking for talented individuals who come from varied backgrounds, think differently and want to be part of this exciting transformation by challenging the status quo so we can push AXA - a leading global brand and one of the most innovative companies in our industry - onto even greater things.
We are an active, long-term, global, multi-asset investor focused on enabling more people to harness the power of investing to meet their financial goals. By combining investment insight and innovation with robust risk management we have become one of the largest asset managers in Europe, managing €746bn in assets as of the end of 2017. We employ about 2,400 people around the world and operate out of 21 countries.
We are proud to foster a high-performance culture, which means that we seek to recruit and retain people who are not only technically-skilled but also globally-minded, innovative and able to leverage their unique perspectives and life experiences to support our success as a company.
AXA IM is committed to building an inclusive culture, valuing diversity and supporting the career progression of all employees.