• Quantify company filings using financial ratios and use valuation methodologies such as DCF and Company comparable analysis for potential investments for the fund’s portfolio
• Conduct research and evaluate opportunities in Healthcare, Pharmaceutical, Bio-Technology and Technology sectors
• Run sensitivity analysis to show the various impacting variables on valuation using a financial model and scenario analysis on various potential situations to find the best and worst case
• Examine the Macroeconomic variables, SWOT analysis, Risks and Catalyst on relevant equities for the fund’s portfolio in collaboration with the team