Investment Research Intern — Markets, Modeling & Data

Alberta Investment Management Corporation (AIMCo)

Calgary

On-site

CAD 45,000 - 56,000

Full time

5 days ago
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Job summary

Alberta Investment Management Corporation (AIMCo) invites applications for a 4‑month, full‑time term with the Alpha Strategies team within Public Equities. The role focuses on investment research support, portfolio analytics, data management, and technology infrastructure projects from May 2027 through August 2027.

The ideal candidate is pursuing an undergraduate degree in finance, economics, math, statistics, computer science or related fields, with strong financial modelling skills and

Qualifications

  • Pursuing an undergraduate degree in finance, economics, math, statistics, computer science or related field.
  • Proven financial modelling skills and ability to conduct detailed financial analyses.
  • Strong technical skills with Bloomberg, Capital IQ, Factset, Excel, Word, PowerPoint, etc.

Responsibilities

  • Contributing to day-to-day operational support and management of the Alpha Strategies portfolio.
  • Contributing to idea generation and investment research.
  • Conducting fundamental equity and credit research.
  • Build and maintain valuation models, screening databases and related data sets.
  • Proactively developing and communicating research for the team.
  • Collaborating with AIMCo teams to achieve common goals.

Skills

Financial modelling
Investment research
Data management
Programming/data analysis
Communication

Education

Undergraduate degree in finance/economics/math/statistics/computer science

Tools

Bloomberg
Capital IQ
Factset
Excel

Job description

Alberta Investment Management Corporation (AIMCo) invites applications for a 4‑month, full‑time term with the Alpha Strategies team within Public Equities. The role focuses on investment research support, portfolio analytics, data management, and technology infrastructure projects from May 2027 through August 2027.

The ideal candidate is pursuing an undergraduate degree in finance, economics, math, statistics, computer science or related fields, with strong financial modelling skills and

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