About us

“Helping analysts focus on what matters”

Get Me Research (GMR) is a boutique research firm dedicated to providing cost-effective, efficient, and high-quality research and analytical support to the financial services sector. We serve leading asset management firms and corporations globally and have quickly become a trusted partner for top hedge funds in the USA and the UK.


Our deep collaboration with analysts from premier funds has honed our understanding of the critical need for accuracy, timely delivery, and consistent quality in every project.


Passionate about our work, we operate as an extension of our clients' teams, enabling them to focus on revenue growth, portfolio performance, and expanding research coverage—while achieving over $80M in client savings and delivering more than 10,000 financial models.



$80M+ savings
delivered


10K financial
models

What We Do



Financial Modeling and Valuation

We assist analysts and portfolio managers in maximizing their investment coverage while ensuring that financial models are attended to by well-trained professionals. We build and maintain bespoke financial models; loaded with historical data, consensus-based or independent forecasts, and valuations.

Equity Research Support

We support asset managers and buy-side analysts with a range of equity research services including Financial Modeling,Company Research,Comparable company analysis, Guidance Analysis and tracking,Events, Industry and Market data collection.


Credit Research Support

Boost your fixed income portfolio with in-depth cash flow modeling, expert credit risk analysis, and insightful scenario planning provided by our team of specialists in emerging and developed markets, across various asset classes and distressed debt.

Financial Planning and Analysis

We assist corporations and private businesses in the preparation of their annual budget and long-range plans based on the essential operating drivers for each department, business line, & subsidiary. Our financial models enable you in decision-making and serves as a useful tool in various business situations.

Why Us ?



Unmatched Expertise

Our team of seasoned equity analysts, with over 100 years of combined experience, excels in financial modeling, research, and advanced analytics, having successfully delivered 10,000+ models.

Scalable Solutions

We offer flexible, 24/7 engagement models that scale with your needs, ensuring time-sensitive projects are handled efficiently, regardless of your firm’s size.

Seamless Integration

We become an extension of your team, enhancing productivity and ensuring critical data is managed by dedicated professionals.

Cost Efficiency

Benefit from our experienced analysts at a fraction of the cost, allowing your onshore talent to focus on key insights, revenue growth, and client relations.


Rigorous Quality Assurance at Every Step


At GMR, accuracy and reliability are the cornerstones of our financial models. Our multi-tiered quality assurance process ensures each model is meticulously reviewed at every stage of development. From the initial review to final validation, our expert team thoroughly checks formulas, data inputs, and calculations, delivering models that meet and exceed client expectations. With GMR, your financial models are crafted under a robust quality assurance framework. Your models are in expert hands!