Zeeshan Bagwan

Senior Investment Analyst Global Long-short Fund at Al Dhabi Capital

Zeeshan Bagwan currently serves as a Senior Investment Analyst for the Global Long-Short Fund at Al Dhabi Capital since August 2022. Prior to this role, Zeeshan worked at Abu Dhabi Capital Group from November 2017 to July 2022, progressing from Investment Associate to Senior Associate in Global Equities, where responsibilities included generating investment ideas, conducting fundamental and technical analysis, and assisting in portfolio management. Zeeshan's earlier experience includes an Investment Analyst position at L&T Mutual Fund, focusing on Indian equities, and an Equity Analyst role at JM Financial. Educational qualifications include a PGDM in Finance and Business Strategy from the Indian Institute of Management Ahmedabad and a B.Tech in Electrical and Electronics Engineering from COEP Technological University.

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Al Dhabi Capital

Al Dhabi Capital Limited is a focused and active asset manager, established in 2010 and based in the Abu Dhabi Global Market (ADGM), Abu Dhabi's international financial center. We are one of the few direct investment companies in the country with UAE, MENA and Global portfolios and are proud to manage portfolios on behalf of family offices UHNWIs and institutional investors. We follow a high-conviction, opportunistic, top-down approach to our investments, combined with a bottom-up allocation framework across countries and sectors. Our investment specialists are experienced professionals whose blend of diverse backgrounds and cultures enables us to effectively navigate market cycles and deliver performance for our clients. Our Approach We apply a consistent and disciplined process using rigorous top down and bottom-up stock selection combined with precise risk management. The basis of our investment process is in-depth industry analysis, quality research and detailed financial modelling. We identify well managed companies with sound business models that can generate attractive returns on invested capital along with sustainable growth in cash flows and earnings. We invest in companies where we see intrinsic value, but we have the flexibility to be opportunistic where we spot market inefficiencies leading to price anomalies.