Formerly known as Global Research & Risk Solutions
Maximize portfolio alpha by expanding in-house research team
European based Asset Manager (AuM: $25bn)
Key requirement
- Coverage expansion in specific sectors and geographies
- Track portfolio stocks and identify new investment opportunities
Challenge faced by onshore team
- Limited bandwidth of onshore research team
Crisil solution
- Dedicated FTE model with access to sectoral SMEs for ownership of research coverage
End-to-end research support
- Investment thesis, industry analysis, sell-side meetings, company IR meetings, key risks analysis etc. leading to stock recommendations
- Primary research support through channel checks
- Bridge gaps in research and provide nuanced market insights on sectors and companies covered
Portfolio monitoring
- End-to-end coverage maintenance and model updates
- Earnings support and event-driven analysis
- Participate in conferences and corporate events
Crisil Impact
Benefits to the client
- Volume of research notes and stock ideas increased by 2x
- Highly integrated into the investment process
- High ownership of research output, allowing PMs/analysts to focus on market interactions
- Access to dedicated sector specialists
Explore Crisil, a company of S&P Global