Morgan Stanley mentor
PlaXies Lab Program
The Best Choice for Accumulating Practical Hands-On Experience and Capability
Company Profile
Established in 1935 and headquartered in New York City, Morgan Stanley is a leading American global financial services firm. Standing as one of the world's premier investment banks and financial institutions, its business operations span institutional securities, investment banking, wealth management, and investment management. The firm delivers comprehensive financial solutions—including capital markets services, financial advisory, alongside asset and wealth management—to corporations, governments, and individual clients. Operating across more than 40 countries worldwide, Morgan Stanley is long-renowned for its professional services and commitment to innovation.
Training Content
The program utilizes a Project-Based Learning (PBL) simulation model, led by active, in-service mentors from the relevant field/industry to guide students through practical exercises.
Training content is highly customized, adjusting to each student’s learning pace and academic background to guide them along their own unique career path!
GIC Training Advantages
- Online Training: Flexible scheduling allows students to simultaneously participate in training during the regular academic semester.
- Training Outcomes: Earn a GIC Certificate and a mentor letter of recommendation to boost your resume.
- Guaranteed Placement: Secure a reserved slot through GIC's professional coaching and background verification process.
Investment Banking
Training Objective:
Responsible for corporate mergers and acquisitions, capital raising, financial advisory, and market analysis; provide vital support for investment strategies and transaction execution.
Target Majors:
Finance, Accounting, Economics, Business Management, Mathematics, or related financial fields.
Training Duration:
Approximately 1 month.
Industry Research
Training Objective:
Collect and analyze industry data and market trends; author research reports to support investment and strategic decisions.
Target Majors:
Economics, Finance, Statistics, Business Management, Data Analytics, or related fields.
Training Duration:
Approximately 1 month.
Asset Management
Training Objective:
Responsible for portfolio planning and management; analyze market and asset performance; provide risk control metrics and investment recommendations.
Target Majors:
Finance, Accounting, Economics, Financial Engineering, Business Management, or related fields.
Training Duration:
Approximately 1 month.
Risk Management
Training Objective:
Identify, assess, and monitor financial risks; formulate risk control strategies to ensure the safety of company assets and transactions.
Target Majors:
Finance, Economics, Mathematics, Statistics, Financial Management, or related fields.
Training Duration:
Approximately 1 month.
Quantitative Analysis
Training Objective:
Utilize mathematical models and programming to analyze financial market data, develop trading strategies, and optimize portfolio performance.
Target Majors:
Mathematics, Statistics, Physics, Computer Science, Financial Engineering, or related quantitative fields.
Training Duration:
Approx. 1 month.