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Fidelity Investments

Equity Sector Specialist

Reposted 20 Days Ago
Be an Early Applicant
In-Office
London, England, GBR
Junior
In-Office
London, England, GBR
Junior
Support equity analysts and portfolio managers by aggregating and analyzing industry data, creating visualizations, improving data-management processes, applying fundamental, quantitative, and data-science methods (including LLMs/GenAI), and delivering actionable research and presentations to inform portfolio decisions.
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Job Description:

The Group

Fidelity’s Equity Division manages over 130 diversified mutual funds and more than 60 industry-specific funds, with over $1 trillion in assets under management. Our team includes 200+ Portfolio Managers, Research Analysts, Research Associates, and Sector Specialists, all working together to deliver exceptional investment outcomes.

The Role

We are seeking a Sector Specialist to join our Equity Research Department. In this role, you will be a key contributor to the investment process, partnering closely with analysts, associates, and portfolio managers across the division. You will report directly to a Managing Director of Research and play an integral part in driving research insights and supporting portfolio decisions.

What You’ll Do

  • Provide research support to equity analysts and associates across multiple sectors.

  • Aggregate and analyse industry data to identify trends and insights.

  • Create visualizations of industry trends and analytical results.

  • Streamline data collection and management processes for efficiency.

  • Conduct analyses across fundamental, quantitative, and data science disciplines, including the use of large language models and artificial intelligence.

  • Interpret findings, draw conclusions, and make actionable recommendations.

  • Collaborate on stock-specific and industry presentations for internal stakeholders.

  • Partner with global sector specialists, industry sources, external research providers, and internal teams (data science, technology, market data) to enhance research capabilities.

What We’re Looking For

Education & Experience

  • Undergraduate degree with 1–2 years of relevant experience in securities investing, financial analysis, accounting, valuation, economics, or statistics.

  • A postgraduate qualification (e.g., Master’s degree) in finance, an investment-related field, a hard science, mathematics, or holding the CFA charter is advantageous.

  • Experience working with large language models and GenAI technologies.

  • Experience within the financials, utilities and/or real estate sectors is preferred but not essential.

Technical Skills

  • Strong Excel/VBA skills and a passion for working with data.

  • Proficiency in R and/or Python.

  • Familiarity with financial databases such as Bloomberg and FactSet.

Analytical Expertise

  • Demonstrated interest or experience in fundamental securities analysis, quantitative methods, and data science.

Communication

  • Excellent written and verbal communication skills with the ability to clearly articulate research findings.

  • Commitment to rigorous, evidence-based analysis and the integrity of the scientific method.

Certifications:

Category:Investment Professionals

Top Skills

Bloomberg
Data Science
Excel
Factset
Genai
Large Language Models
Python
R
VBA

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