Research Intern – Global Macro & Public Markets

Job not on LinkedIn

🔥 2 minutes ago

🇮🇳 India – Remote

💵 ₹8k - ₹16k / month

👨‍🎓 Internship

⚪️ Entry-level

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Logo of Vulcury

Vulcury

1 - 10 employees

Founded 2022

🏭 Manufacturing

📣 Marketing

💼 Consulting

Manufacturing • Marketing • Consulting

Vulcury is a combined venture studio and consulting firm that helps businesses and entrepreneurs turn ideas into scalable companies while providing strategic advisory services. The venture studio incubates, validates, and spins out startups with focus areas including investment research, manufacturing innovation, real estate development, education/EdTech, and emerging technologies. The consulting division delivers strategic planning, operational efficiency, financial modeling, market analysis, and growth acceleration to help organizations scale and execute effectively.

📋 Description

• Monitor and analyze major macroeconomic developments across the U.S., India, Europe, China, and other major markets • Translate macroeconomic developments into clear, evidence-based research conclusions • Analyze how macroeconomic changes affect equity valuations, earnings expectations, sector performance, risk premiums, capital allocation, corporate financing conditions, and investment cycles • Support company-level public equity research within broader macro and thematic frameworks • Analyze business models, competitive positioning, revenue and margin durability, capital allocation, balance-sheet strength, valuation, scenario analysis, and sensitivity to rates, inflation, liquidity, and economic cycles • Contribute to long-form macro research papers, thematic research notes, company and sector analyses, weekly research publications, and Calisade Digest • Defend reasoning, respond to challenges, revise work, and improve analytical frameworks over time

🎯 Requirements

• CFA Level II passed or above; CFA Level III candidate or CFA charterholder preferred • MBA from a recognized institution with a strong focus in Finance, Economics, or a closely related discipline • Strong macroeconomic and capital-markets fundamentals • Demonstrated interest or experience in global macroeconomics, monetary policy, inflation and real rates, fixed income and duration, fiscal policy and sovereign debt, liquidity and credit cycles, global capital flows, cross-asset relationships, macro-driven equity research, or investment regime analysis • Strong understanding of the relationship between inflation, interest rates, liquidity, credit, valuations, capital flows, and equity/sector outcomes • Strong macroeconomic reasoning and ability to connect macro factors to markets • Analytical precision, strong macroeconomic intuition, structured thinking, evidence-based reasoning, intellectual curiosity, and ability to synthesize complex information • Excellent written English • Comfort challenging consensus and defending and revising an argument • Consistent and reliable execution

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