Finance example
Asset management resume example
An asset management resume example for equity research and portfolio analyst roles in Milan and continental Europe. Coverage universe discipline, performance attribution and CFA progress — the signals AM hiring managers scan for before inviting candidates to modelling tests.
Warum dieser Lebenslauf so aufgebaut ist
Chiara is a third-year analyst with a defined coverage list and attribution work — experience leads with stock-specific outcomes, not generic “research support.” CFA Level III candidacy sits in education next to Bocconi. Skills separate research methods from tools (Bloomberg, Python). No custom section; the coverage universe is woven into bullets. Harvard template matches conservative AM formatting in Europe.
Professional Summary
Equity research analyst covering European quality compounders with ESG integration. Three years building earnings models, publishing notes and running performance attribution vs benchmark.
Experience
- Cover 12 European quality compounders; published 4 initiation notes used in portfolio construction
- Built earnings models with driver trees linking volume, price and margin to NAV sensitivity
- Ran monthly risk attribution vs benchmark; flagged 3 factor tilts that reduced tracking error by 40bps
- Integrated ESG materiality scores into coverage framework for 8 names in consumer and healthcare
- Maintained comp sheets and channel checks for 6 mid-cap industrial names
- Drafted earnings preview notes reviewed by senior analysts ahead of Q2 season
Education
110/110 · Asset Management, Derivatives, Econometrics
Level I & II passed · Level III candidate
Skills
Languages
Harvard template · see layout
Worauf Recruiter achten
- Named coverage list with initiation or update notes published
- Attribution or risk language tied to benchmark outcomes
- Modelling depth — driver trees, NAV sensitivity, earnings revisions
- CFA progress stated clearly in education
- ESG only when integrated into investment process, not buzzwords
- Clean one-page layout with standard section headings
- Sector consistency across internships and full-time roles
Häufige Fehler
- Generic “market analysis” without stock-specific outcomes
- Listing CFA registration without levels passed
- Mixing sell-side and buy-side language inconsistently
- Omitting attribution or risk metrics entirely
- Two pages for a three-year analyst profile in Europe
ATS-Keywords
| Keyword | Why it matters |
|---|---|
| Equity research | Core AM function |
| Initiation note | Published research |
| NAV | Valuation framing |
| Attribution | Portfolio analytics |
| Factor tilt | Risk management |
| ESG | Integration signal |
| Coverage universe | Scope clarity |
| Bloomberg | Industry tooling |
Häufig gestellte Fragen
AM resumes emphasise portfolio construction, attribution and risk vs benchmark. Sell-side research highlights published ratings and client-facing notes.