Equity Strategy Intern (Buy-Side Research) 80-100% (f/m/d) - 6-9 month Contract (with possible extension)
Bank Julius Bär & Co. AG
Zürich
Key information
- Publication date:22 January 2026
- Workload:80 – 100%
- Place of work:Zürich
Job summary
Join Julius Baer as an Equity Strategy Intern, shaping wealth management. Enjoy a collaborative environment with growth opportunities.
Tasks
- Support the development of top-down equity strategies globally.
- Assist in creating publications and maintaining quantitative models.
- Engage with brokers and investment teams for valuable insights.
Skills
- University degree or 2 years in Finance, Economics, or Banking.
- Advanced MS Office skills, especially in PowerPoint and Excel.
- Excellent communication skills and fluency in English.
Is this helpful?
At Julius Baer, we celebrate and value the individual qualities you bring, enabling you to be impactful, to be entrepreneurial, to be empowered, and to create value beyond wealth. Let’s shape the future of wealth management together.
As an Equity Strategy Intern within buy-side research team, you will support the development and delivery of global top-down equity strategies, including country, sector, and style allocations. You will assist in producing daily, weekly, and monthly flagship publications, contribute to the preparation and maintenance of quantitative models and client-ready presentations, and gain exposure through regular interaction with brokers, internal investment teams, and selected external partners. Close collaboration with investment professionals across the Group’s various business lines provides valuable insight into cross-functional investment processes. This role offers hands-on experience in strategic equity research within a dynamic, team-oriented environment.
IHRE AUFGABEN
- You perform as an Equity Strategy Intern in an experienced team (buy-side research)
- Support in daily, weekly and monthly flagship publications
- Support in the global top-down equity strategy, including country, sector and style allocation
- Preparation and maintenance of quantitative models and presentations
- Regular contact with brokers, internal stakeholders and selected external audiences
- Collaborate closely with the Group's investment professionals of other Business Lines
YOUR PROFILE
- University degree or at least 2 years enrolled in a university programme; Finance, Economics, Banking are preferred
- First experience as a research/investment analyst or in a related role would be a strong asset
- Solid understanding of capital markets, macroeconomics and equity fundamentals
- Advanced MS Office skills, particularly in Power Point and Excel
- Prior knowledge of Bloomberg and/or Macrobond as data retrieval systems as an advantage
- Excellent communication and presentation skills
- Fluency in English and preferably in German
- Ability to work independently, manage multiple tasks, and show initiative
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