At Franklin Templeton, we’re advancing our industry forward by developing new and innovative ways to help our clients achieve their investment goals. Our dynamic firm spans asset management, wealth management and fintech, offering many ways to help investors make progress toward their goals. Talented teams working around the globe bring expertise that’s both broad and unique. And our welcoming, respectful and inclusive culture provides opportunities to help you reach your potential while helping our clients reach theirs. Come join us in delivering better outcomes for our clients around the world! 2026 Undergraduate Summer Intern – Job Posting Department Title: Undergrad Intern – Portfolio Management Analyst: Corporate Fixed Income Position Summary: Our department is responsible for managing Fixed Income Corporate Bond portfolios. Portfolio Managers work very closely with our fundamental corporate research team to manage our active corporate bond strategies. This includes deciding which corporate sectors we want to invest in using best ideas from our research team recommendations to build robust investment portfolios that outperform our peer groups. This is an amazing opportunity for an intern as they will be working very closely with senior portfolio managers learning how to manage our investment portfolios. You will be given the opportunity to be trained as a junior corporate bond portfolio manager. This is very rare to get this kind of exposure directly working with senior portfolio managers. Strong potential for long term employment as a portfolio manager based on intern performance. Team Culture: The team culture is very strong. We work in an environment that encourages everyone to generate ideas, teach and learn from each other and drive positive investment performance into our corporate bond strategies. We treat each other like family and believe a strong team culture builds strong long term investment performance. An intern in this department can expect to learn: Learn about the fundamentals of corporate bond sectors, how to evaluate relative value between investment sectors like Financials, Industrials, Non-Cyclicals, Healthcare, Technology, Commodities etc. Work very closely with sector specialist bottom-up fundamental research analysts on how and why they select specific companies for best ideas to include in our portfolios. Learn about how we construct and risk manage our portfolios to outperform our benchmarks for better risk adjusted returns. Help us build quantitative tools to generate ideas and manage risk.
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Job Type
Full-time
Career Level
Intern
Education Level
No Education Listed
Number of Employees
5,001-10,000 employees