Equity Research Analyst, Vice President

BlackRock
New York, NYPosted 28 April 2026

Tech Stack

Job Description

About this role BlackRock is one of the world’s preeminent asset management firms and a premier provider of global investment management, risk management and advisory services to institutional, intermediary, and individual investors around the world. BlackRock’s mission is to create a better financial future for our clients. We have a responsibility to be the voice of the investor, and we represent each client fairly and equally. Constant communication with a diverse team of partners strengthens us and delivers better results for our clients. Continuous innovation helps us bring the best of BlackRock to our clients. BlackRock offers a range of solutions — from rigorous fundamental and quantitative active management approaches aimed at maximizing outperformance to highly efficient indexing strategies designed to gain broad exposure to the world’s capital markets. Our clients can access our investment solutions through a variety of product structures, including individual and institutional separate accounts, mutual funds and other pooled investment vehicles, and the industry-leading iShares® ETFs. The Vice President, US Equity Research Analyst is responsible for generating high‑conviction investment ideas with a clear focus on alpha generation and portfolio impact. The role owns fundamental coverage end‑to‑end, develops differentiated investment views, and actively influences portfolio positioning through rigorous analysis, debate, and accountability for outcomes. The role targets sector specialists in Technology, Financials, or Health Care who bring a disciplined, repeatable investment process and the ability to generate differentiated, fundamental insights within their domain. Key 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 Knowledge, Experience & Skills 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 AI, Data & Research Tooling ​ 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 
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