Intern – Investment Portfolio Management-The Hartford

Website The Hartford


You are a driven and motivated problem solver ready to pursue meaningful work. You strive to make an impact every day & not only at work, but in your personal life and community too. If that sounds like you, then you’ve landed in the right place.

Hartford Investment Management Company (HIMCO), a subsidiary of The Hartford Financial Services Group, is committed to being a leading provider of investment management solutions.

Put your career on the fast track with The Hartford’s Investment Management summer internship.

About The Internship

This is a 10-week experience, designed to fully immerse analysts in the buy-side investment management industry by working alongside one of HIMCO’s Front Office teams. Sector assignments can include positions within credit research, privates, structured credit, quantitative equity, portfolio management and macroeconomic strategy. Analysts are offered extensive development opportunities through a mentoring program, a mock-trading competition, an executive speaker series, exposure to different asset classes, volunteering and social events. Analyst contributions during his/her internship will culminate in a capstone project presentation to provide an opportunity for exposure to HIMCO senior leaders. Successful summer interns may be invited back for a full time Front Office position.

About The Team

HIMCO is one of the most sophisticated asset managers in the insurance industry, with a wide array of investment strategies on behalf of our clients, which include the affiliated assets of The Hartford’s Insurance Company. Our investment expertise spans across the risk/return spectrum of asset classes, including fixed income, structured credit, and public equity, as well as private alternative assets such as private equity, real estate, private placement and strategic investments.

What are we looking for?

Candidate Qualities We Look For Include

Our summer internship program is open to candidates currently pursuing a Bachelor’s degree, with an expected graduation date between December 2021 and June 2022. While there are no requirements for a specific discipline or major, our team is looking for highly motivated individuals with a strong record of academic achievement, and a demonstrated interest in financial markets.

  • Deep interest and basic knowledge of financial markets
  • Some related course work (e.g. finance, economics, mathematics, computer science, engineering etc.) and/or student investment or finance club experience
  • Strong drive, attention to detail, and a self-starter with a high degree of intellectual curiosity
  • Strong problem-solving and analytical skills, including use of technology
  • Excellent time management, organizational and communications skills
  • Proficiency in the Microsoft Office suite of products (Excel, PowerPoint, Word) is required. Familiarity with coding languages such as Excel VBA, R, Stata, or Matlab, etc. are considered a plus

Equal Opportunity Employer/Females/Minorities/Veterans/Disability/Sexual Orientation/Gender Identity or Expression/Religion/Age
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