Started his career in 1994 working as a Research Analyst for the Economic Times, a leading financial newspaper in India where he covered several sectors for industry analysis and research. In 1998, he moved to the Financial Corporation in Oman where he was a sell side research analyst till Dec 2003. He joined Markaz's Asset Management division in January 2004 as an Investment Analyst and later on moved to the position of Investment Manager in December 2005 with primary responsibility to manage client funds and portfolios invested on the GCC region's stock markets. He has been actively managing Markaz Gulf Fund, an open ended equity fund that invests in the GCC region stock markets, since its inception in January 2006 and later expanded its mandate in Sept 2008 to also include the wider Middle East and North Africa stock markets. Mujib is a part of the Mena Equities team managing AUM of USD 1.5 billion.