Pursuing an MBA degree with an emphasis in Finance and Economics or a related, quantitative/analytical field from an accredited, leading business school or university, or other equivalent Advanced Degree
Must be able to begin full time employment from a PIMCO office between January 2027 – August 2027
Fluent in English (speaking, reading, writing)
Must be willing to work in London
Skills conducting research and basic financial modeling
Demonstrates natural intuition to make good judgments
Strong interest in the financial markets, macroeconomics and investment finance
Proactive in thinking about potential investment ideas
Good communicator; strong written and oral presentation abilities; persuasive and credible
Available for the full duration of the program (Monday, June 8 – Friday, August 14, 2026)
Responsibilities
Evaluate various industries and companies to make investment recommendations to PIMCO’s portfolio managers group
Provide analytical support for the firm’s portfolio managers by highlighting risks
Specialize in a number of industries and cover all levels of the debt capital structure (investment grade bonds, high yield bonds, bank debt and convertibles)
Work alongside seasoned credit analysts, supporting them in their coverage responsibilities
Participate in PIMCO Fundamentals Training during Week 1
Participate in PIMCO's Global Month of Volunteering
Attend cross-divisional education, networking & social events
Receive and provide feedback as part of mid- and end-of-summer formal reviews