You will gain detailed insights into capital markets, alternative asset classes and portfolio analysis from different angles such as: asset liability management, tactical asset allocation and asset manager selection. You will learn what effects portfolio decisions have on financial planning and controlling and follow AIM's specific approach to risk/return optimization.
Please note that there will be no program intake for 2020.
Your challenge is to participate in projects that combine computer science and business topics. In this way you will get to know the value chain of AIM from the perspective of digital initiatives and projects and gain deep insights into the work of a multi-asset investment manager.
Please note that there will be no program intake for 2020.