Corporate finance
שירותי המיזוגים והרכישות (M&A) של BMA מיועדים לחברות המעוניינות להרחיב את פעילותן, להגדיל את נתח השוק, או לבצע שינוי אסטרטגי במבנה החברה. אנו מספקים ליווי מקצועי ומקיף לכל שלבי התהליך – החל מההכנות הראשוניות ועד לשילוב המלא לאחר העסקה, מתוך מטרה לשמר את ערך העסקה ולמקסם את התנאים עבור הלקוח. שירות זה מאפשר ללקוחותינו לבצע עסקאות מיזוג ורכישה בצורה חלקה, תוך שמירה על אינטרסים כלכליים ואסטרטגיים.
The steps in our process in corporate financing:
In-depth analysis of the capital structure and the business environment:
The first stage includes a full analysis of the existing capital structure, financing costs and risks. We examine the market situation, trends, and growth opportunities, to understand the optimal conditions for your company.
Development of an optimal financing plan:
Based on the initial analysis, we develop a financing plan that will optimally balance equity and debt. The program focuses on reducing financing costs while maintaining financial stability and flexibility.
Capital raising and financing strategies:
After formulating the plan, we work to implement customized capital raising strategies, which include raising through private, institutional investors or public offerings (IPO). We also take care of preparing investor presentations and marketing documents that support the recruitment process.
Risk management and ongoing control:
Financial risk management throughout the process is critical. We perform ongoing risk control, analyze the capital market, and make adjustments as needed to ensure that the company remains in a stable financial position over time.
Escort after the transaction:
The process does not end after raising the capital or executing a transaction. We continue to accompany the company, perform periodic evaluations, and adapt the strategies to changes in the market or the financial situation of the company, in order to ensure continued success.
The steps in our process in corporate financing:
In-depth analysis of the capital structure and the business environment:
The first stage includes a full analysis of the existing capital structure, financing costs and risks. We examine the market situation, trends, and growth opportunities, to understand the optimal conditions for your company.
Development of an optimal financing plan:
Based on the initial analysis, we develop a financing plan that will optimally balance equity and debt. The program focuses on reducing financing costs while maintaining financial stability and flexibility.
Capital raising and financing strategies:
After formulating the plan, we work to implement customized capital raising strategies, which include raising through private, institutional investors or public offerings (IPO). We also take care of preparing investor presentations and marketing documents that support the recruitment process.
Risk management and ongoing control:
Financial risk management throughout the process is critical. We perform ongoing risk control, analyze the capital market, and make adjustments as needed to ensure that the company remains in a stable financial position over time.
Escort after the transaction:
The process does not end after raising the capital or executing a transaction. We continue to accompany the company, perform periodic evaluations, and adapt the strategies to changes in the market or the financial situation of the company, in order to ensure continued success.