Currently pursuing a Master's degree in Finance, Economics, Econometrics or a related field
Strong interest in investing and financial markets, with curiosity about portfolio construction
Demonstrated interest in responsible and impact investing (academic, extracurricular or personal)
Solid analytical skills and affinity with working with data
Proficient in Excel; familiarity with financial tools or programming (e.g. VBA, Python) is a plus
Strong written and verbal communication skills in English
Proactive, curious and structured working style, with a willingness to learn in a team environment
Additional Information
Hybrid working arrangement (Amsterdam office and home office)
Start date: July 2026
Reference checks and a pre-employment screening are part of the hiring process
We are an equal opportunity employer. All applicants will be considered for employment without regard to race, colour, religion, sex, sexual orientation, gender identity, national origin, veteran or disability status.
Benefits
Equity / stock options
Additional Information
Organisation
Anthos Fund & Asset Management (Anthos) is a values-based asset manager that stewards capital for professional investors who want to create impact together. We do so by responsibly managing capital in line with the values of sustainability, human dignity and good corporate citizenship, underpinned by robust responsible and impact investment principles.
Anthos was founded nearly 100 years ago to manage the assets of the Brenninkmeijer family, their businesses and philanthropies. Today, we also partner with like-minded investors. Clients benefit from tailored expert management across equities, fixed income, real estate, private equity, alternative investments, and multi-asset portfolios.
Anthos Fund & Asset Management is part of COFRA Holding AG, a family-owned enterprise spanning six generations. COFRA comprises a diversified group of investment platforms and operating businesses across asset management, private equity, real estate, retail, clean energy and sustainable food - all striving to be a force for good in society and the environment.
Learning Activities
During the internship, you will be exposed to and support selected activities within the Multi-Asset Impact and Private Equity teams, such as:
Observing and contributing to portfolio performance reviews (financial and impact)
Supporting data collection and structuring for investment and portfolio analysis
Gaining exposure to private markets processes, including capital calls and liquidity tracking
Assisting in the preparation of internal analyses and investment materials, where appropriate
Learning Goals
This internship is designed as a learning pathway towards a future Investment Analyst role within the Investment & Strategy Research (ISR) team.
Investment performance analysis
Learn how to analyse portfolio and investment performance across return, risk and impact dimensions, including understanding performance drivers
Market and portfolio insight development
Gain exposure to how market developments and investment decisions influence portfolio outcomes and positioning
Private markets pipeline development
Learn how to structure and organise an investment pipeline, including building overviews of potential opportunities and understanding pipeline dynamics
ESG & Impact assessment
Develop the ability to assess and challenge the ESG and impact performance of external investment managers
Data structuring and analytical thinking
Build skills in organising, analysing and presenting investment data to support decision-making
Professional investment environment
Observe how investment decisions are prepared, discussed and documented within a multi-disciplinary team