JM
JP MorganLondon

2027 Asset Management Investments- Summer Internship Program - London

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Programme

Internship

Location

London

Duration

9 weeks

Deadline

2026-11-01

About the role

J.P. Morgan Asset Management’s nine-week London summer internship offers penultimate-year students hands-on experience developing investment solutions across Asset and Wealth Management. You will work with portfolio managers, traders, analysts, marketers and client advisors, receive structured training and networking opportunities, and may be considered for full-time employment after successful completion.

Program Structure

  • Nine-week, non-rotational experience connecting Asset Management and Wealth Management.
  • Begins with a five-day London orientation and training led by instructors and J.P. Morgan professionals.
  • Training covers the firm’s history, current operations, future plans, technical skills and practical skills.
  • Includes desk-based training, business presentations, networking opportunities and performance management goal-setting.
  • Successful participants may receive full-time employment offers based on personal achievements.

Responsibilities

  • Collaborate with industry experts to develop investment solutions for corporate, government, not-for-profit and worldwide clients.
  • Work with portfolio managers, traders, research analysts, marketers and client advisors to understand and execute investment strategies.
  • Contribute to real-time projects while building expertise within a dynamic team environment.
  • Set and monitor individual goals and objectives through the performance management process.

Potential Placement Teams

  • Alternatives: Explore real estate, real assets, private equity, private credit, hedge funds and liquid alternatives.
  • Equities: Support global equity strategies alongside portfolio managers, research analysts and traders.
  • ESG: Partner with investment and distribution teams on ESG research and thought leadership.
  • Fixed Income: Work with debt solutions including investment-grade, high-yield and emerging-market debt.
  • Liquidity: Support money-market funds, short-term fixed-income funds and separately managed accounts across currencies and risk levels.
  • Multi-Asset Solutions and Strategy: Contribute to portfolio construction, risk management, product positioning and ESG initiatives.

Application Process

  • Submit a complete application including your resume and relevant application responses.
  • Candidates progressing in the process must complete a HireVue video interview before further review.
  • Use an email address with long-term access; .edu addresses may delay receipt of application updates.