Mid-Senior level
Posted April 4, 2026
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Responsibilities
Commitments
Responsibilities
- Take ownership of a designated named coverage universe of ~40-60 US Consumer Staples stocks
- Work in a true alpha‑driven research seat , with direct impact on portfolio construction and P&L
- Operate within a collaborative, performance‑oriented environment with access to best‑in‑class infrastructure and risk management Key Responsibilities
- Conduct deep, bottoms‑up fundamental research across US Consumer Staples subsectors (e.g. food, beverage, household products, personal care, tobacco)
- Build and maintain detailed financial models, valuation frameworks, and variant view analyses
- Generate actionable long and short investment ideas and present them directly to the PM
- Monitor earnings, industry trends, channel data, and company‑specific catalysts across your coverage universe
- Support portfolio management through ongoing idea maintenance, risk assessment, and position sizing discussions Candidate Profile
- Prior experience in long/short equity research within a hedge fund, multi‑manager, or comparable buy‑side environment
- Demonstrated Consumer Staples sector coverage with a clear ability to run named coverage independently
- Strong fundamental skillset, including financial modeling, earnings analysis, and catalyst‑driven investing
- Commercial mindset with the ability to articulate differentiated views and defend investment theses
Commitments
New York City preferred , with flexibility considered for exceptional candidates This role is ideally suited for an analyst looking to embed within a stable, experienced PM team , gain real ownership over coverage, and be rewarded directly for investment performance on a world‑class multi‑manager platform.
For a confidential discussion, please reach out directly.
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Requirements
- This is a rare opportunity to work directly alongside a seasoned PM with 15+ years of long/short hedge fund experience , within a stable and well‑resourced platform.
- Join an existing, fully built PM pod with a strong multi‑year track record
- Take ownership of a designated named coverage universe of ~40-60 US Consumer Staples stocks
- Conduct deep, bottoms‑up fundamental research across US Consumer Staples subsectors (e.g. food, beverage, household products, personal care, tobacco)
- Prior experience in long/short equity research within a hedge fund, multi‑manager, or comparable buy‑side environment
- Demonstrated Consumer Staples sector coverage with a clear ability to run named coverage independently
- Strong fundamental skillset, including financial modeling, earnings analysis, and catalyst‑driven investing
- Commercial mindset with the ability to articulate differentiated views and defend investment theses
Preferred Skills
- Join an existing, fully built PM pod with a strong multi‑year track record
- Prior experience in long/short equity research within a hedge fund, multi‑manager, or comparable buy‑side environment
Consumer Staples Equity Research Analyst Global Multi‑Manager Hedge Fund | Long/Short Equity | New York We are representing a leading global multi‑manager hedge fund in their search for a Consumer Staples Equity Research Analyst to join an established, high‑performing Portfolio Manager pod . This is a rare opportunity to work directly alongside a seasoned PM with 15+ years of long/short hedge fund experience , within a stable and well‑resourced platform. The team runs a US‑focused fundamental long/short equity strategy and has a clearly defined investment process, risk framework, and capital allocation. The Opportunity
Join an existing, fully built PM pod with a strong multi‑year track record
Take ownership of a designated named coverage universe of ~40-60 US Consumer Staples stocks
Work in a true alpha‑driven research seat , with direct impact on portfolio construction and P&L
Operate within a collaborative, performance‑oriented environment with access to best‑in‑class infrastructure and risk management Key Responsibilities
Conduct deep, bottoms‑up fundamental research across US Consumer Staples subsectors (e.g. food, beverage, household products, personal care, tobacco)
Build and maintain detailed financial models, valuation frameworks, and variant view analyses
Generate actionable long and short investment ideas and present them directly to the PM
Monitor earnings, industry trends, channel data, and company‑specific catalysts across your coverage universe
Support portfolio management through ongoing idea maintenance, risk assessment, and position sizing discussions Candidate Profile
Prior experience in long/short equity research within a hedge fund, multi‑manager, or comparable buy‑side environment
Demonstrated Consumer Staples sector coverage with a clear ability to run named coverage independently
Strong fundamental skillset, including financial modeling, earnings analysis, and catalyst‑driven investing
Commercial mindset with the ability to articulate differentiated views and defend investment theses
Self‑starter who thrives in a fast‑paced, performance‑linked pod structure Compensation & Location
Competitive base salary
Uncapped bonus directly linked to pod and individual performance
New York City preferred , with flexibility considered for exceptional candidates This role is ideally suited for an analyst looking to embed within a stable, experienced PM team , gain real ownership over coverage, and be rewarded directly for investment performance on a world‑class multi‑manager platform. For a confidential discussion, please reach out directly.
Join an existing, fully built PM pod with a strong multi‑year track record
Take ownership of a designated named coverage universe of ~40-60 US Consumer Staples stocks
Work in a true alpha‑driven research seat , with direct impact on portfolio construction and P&L
Operate within a collaborative, performance‑oriented environment with access to best‑in‑class infrastructure and risk management Key Responsibilities
Conduct deep, bottoms‑up fundamental research across US Consumer Staples subsectors (e.g. food, beverage, household products, personal care, tobacco)
Build and maintain detailed financial models, valuation frameworks, and variant view analyses
Generate actionable long and short investment ideas and present them directly to the PM
Monitor earnings, industry trends, channel data, and company‑specific catalysts across your coverage universe
Support portfolio management through ongoing idea maintenance, risk assessment, and position sizing discussions Candidate Profile
Prior experience in long/short equity research within a hedge fund, multi‑manager, or comparable buy‑side environment
Demonstrated Consumer Staples sector coverage with a clear ability to run named coverage independently
Strong fundamental skillset, including financial modeling, earnings analysis, and catalyst‑driven investing
Commercial mindset with the ability to articulate differentiated views and defend investment theses
Self‑starter who thrives in a fast‑paced, performance‑linked pod structure Compensation & Location
Competitive base salary
Uncapped bonus directly linked to pod and individual performance
New York City preferred , with flexibility considered for exceptional candidates This role is ideally suited for an analyst looking to embed within a stable, experienced PM team , gain real ownership over coverage, and be rewarded directly for investment performance on a world‑class multi‑manager platform. For a confidential discussion, please reach out directly.