2025 Investment Management Summer Analyst Programme - Real Estate Investing (London)

Morgan Stanley

1 open position(s)

Details

  • Internship
  • No work from home

Morgan Stanley Investment Management (MSIM), together with its investment advisory affiliates, has about $1.5 trillion in assets under management or supervision. With 1,419 investment professionals worldwide, and 55 offices in 24 countries, Morgan Stanley Investment Management is able to provide in-depth local knowledge and expertise while channelling the strength of our global presence and resources. To support the delivery of tailored, value-added investment solutions to clients our investment teams are organized by capability: Solutions & Multi-Asset, Real Assets, Active Fundamental Equity, Private Credit & Equity, Global Fixed Income, and Global Liquidity. Morgan Stanley Investment Management strives to provide outstanding long-term investment performance, service and a comprehensive suite of investment management solutions to a diverse client base, which includes governments, institutions, corporations and individuals worldwide.

Morgan Stanley Real Estate Investing (REI) is Morgan Stanley’s integrated global real estate practice. We are the world’s leading global real estate investment manager with over $53 billion in real estate assets under management across core, value-added and opportunistic investment vehicles. REI acquires properties, operating companies, and real estate backed departments on a global scale on behalf of our institutional investors.

The Morgan Stanley Real Estate Investing Summer Analyst Program in London runs for 10-weeks and offers you the opportunity to join a world class equity boutique including firm training and networking as well as on the desk training.

TRAINING PROGRAM

London-based training begins in June with one week of intensive classroom training, including an introduction to Morgan Stanley, followed by specific Real Estate Investing training. Throughout the internship, you will be exposed to business speakers and practical sessions as you continue to become familiar with the asset management industry.

RESPONSIBILITIES

Collecting and synthesizing financial and operating information about potential investment opportunities and industries
Creating financial models
Gathering market data to analyse trends and help value and price transactions
Drafting presentations and memoranda for a wider audience within the Firm
Attending team discussions and partner meetings, where you may be asked to deliver parts of a presentation
QUALIFICATIONS/ SKILLS/ REQUIREMENTS

You are pursuing an undergraduate or Master’s degree, minimum 2.1 with an expected graduation date between December 2025 and July 2026
Ability to analyse and interpret complex information quickly and accurately.
Strong aptitude for numbers.
Ability to communicate complex ideas clearly and succinctly.
Temperament that thrives under pressure and changing situations.
Strong analytical and numerical skills that put you at ease with financial data
Results-driven and able to perform well under pressure and against tight deadlines.
Proven team player with the ability to manage a wide range of responsibilities.
Committed to excellence in your work and maintain high professional and ethical standards.
You are fluent in English, with excellent verbal and written communication skills. An ability to communicate effectively in multiple languages would be an advantage

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