Hedge Fund Credit Risk Management Exit Ops
I've seen plenty of forums here on WSO on exit ops for traditional Corp Fin CRM (eg looking at credit risk on M&A loans, LevFin loans, etc), however, wanted to get more insight on exit ops for HF CRM (eg underwriting / analyzing the credit risk for HFs on OTC derivative products such as TRS, FX, Repo, etc). Do you see any of these HF CRM folks going into the front office or into a risk role within a HF? Any insight is appreciated. Thanks in advance.
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