Top MM Group vs Low BB Group for exit opps
Curious — how does a top MM that’s strong in its niche (think Jeff HC / RBC PU&I / Baird IND) actually stack up for exit opps (PE/VC) against a less prestigious group at a BB (think Barclays REGAL / BB LATAM / UBS C&R)?
Jeff HC has very solid exits; lots of UMM exits from the group. RBC PU&I also is really strong for infra with UMM/MF exits. BofA middle market group is rightfully a meme. Unsure on the rest.
Thanks!
Oh fuck. If it’s Jefferies that would be very hard to pass up on bro. It’s Jefferies.
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