Equity Research Analyst, Vice President

BlackRockNew York, NY
$155,000 - $210,000Hybrid

About The Position

BlackRock is a global asset management firm dedicated to creating a better financial future for its clients. The Vice President, US Equity Research Analyst is responsible for generating high-conviction investment ideas with a focus on alpha generation and portfolio impact. This role involves end-to-end fundamental coverage, developing differentiated investment views, and actively influencing portfolio positioning through rigorous analysis and debate. The position targets sector specialists in Technology, Financials, or Health Care who possess a disciplined investment process and the ability to generate unique fundamental insights within their domain.

Requirements

  • 6–10+ years of investment experience on the buy-side or at a top-tier sell-side institution
  • Demonstrated experience applying fundamental analysis across sectors such as Technology, Financials or Health Care
  • Proven ability to generate differentiated investment ideas with clear implications for portfolio positioning
  • Deep understanding of business models, competitive dynamics, unit economics, and key valuation drivers
  • Strong financial modeling and analytical skills with a focus on materiality and decision-making, not model complexity
  • Clear, concise communicator able to articulate investment views to PMs and investment committees
  • Experience influencing investment outcomes through evidence-based debate and collaboration
  • Ability to use AI, data, and lightweight programming to deepen research, test investment hypotheses, and develop differentiated views
  • Comfort working across structured and unstructured information, using tools (e.g., Python, SQL, or AI copilots) to interrogate data and pressure-test assumptions
  • Curiosity about how AI and data infrastructure are reshaping industries and how they can be applied to improve investment judgment over time

Responsibilities

  • Generate actionable long investment ideas with clear variant perception and portfolio relevance, primarily within US large-cap and mid-cap equities
  • Own end-to-end fundamental coverage, including business analysis, valuation, underwriting, and investment recommendations
  • Develop disciplined, repeatable investment frameworks that scale across sectors and market environments
  • Build and maintain decision-grade financial models focused on material value drivers, scenario analysis, and risk/reward
  • Conduct deep fundamental, industry, and primary research to identify key inflection points, structural advantages, and downside risks
  • Monitor portfolio positions and update views with speed, discipline, and intellectual honesty as new information emerges
  • Partner closely with Portfolio Managers and investment colleagues to influence sizing, timing, and portfolio construction
  • Contribute to a high-performance, debate-driven investment culture that values rigorous challenge, accountability, and continuous improvement

Benefits

  • Annual discretionary bonus
  • Healthcare
  • Leave benefits
  • Retirement plan
  • Tuition reimbursement
  • Support for working parents
  • Flexible Time Off (FTO)
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