Morgan Stanley Liability Management Group
Sits within their Global Capital Markets division. Seems to be an extension of LevFin but I can’t seem to find anything about what this group actually does. Any insight?
Sits within their Global Capital Markets division. Seems to be an extension of LevFin but I can’t seem to find anything about what this group actually does. Any insight?
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Dead end group with no exits. Their main marketing gimmick is that they’re part of lev fin and model. I would avoid if you want to do PE.
They essentially look at companies cap structures and minimize cost and risk. Types of deals include making sure covenants are followed in M&A deals by analyzing pre and pro-forma credit, restructuring, refi’s, and helping to edit covenants.
If the group models, why is it considered a dead end if you want to do PE?
Credit risk teams (like this) model.
People do not move from credit risk / pm to PE.
Gotcha that makes sense. Is it possible to move to private credit from credit risk then because it technically is apart of cap markets (At least in Morgan Stanley)?
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