What would be the exit opps for a Capital Markets Analyst at a BB?
I saw a posting for a JPM position for a M&A Capital markets analyst within CIB, I was just curious if this is within their IB group doing valuations? The description is different than all the other IB positions I've read, so I was wondering if anyone had or knew of anyone who had experience within this group? I was curious what you could exit to?
Description:
Analyst/Associate primarily would focus on public market related analyses, including interpreting trading behavior of securities, helping corporate clients to position M&A/spin-offs and other corporate actions for optimum investor reception. The work spans not only CFA, but also ECM and M&A activities. Background in the markets (equities/debt/derivatives) would be helpful, as would knowledge of M&A.
More over, when looking into HF or PE does Cap Markets get viewed the same as coverage groups?
its all the product groups ex-M&A – so levfin, ecm, dcm, more structured stuff is all under capital markets. exits vary group by group and are generally a bit more niche than generalist coverage, i.e. levfin will have an easier time exiting to pe/credit funds while ecm might fit better for corpdev roles
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