DCM London/EU exit ops?
Hey guys,
I know this is a topic covered quite frequently on WSO, but was wondering if anyone from EU can chip in if there any differences in exit ops for DCM in London as opposed to NA.
Personally, I am not too fussed about PE exits, but how does DCM place for debt funds here? Other than treasury and IB exits, what else is feasible? I read that in the EU the group matters less, but does this also include GCM groups like DCM?
Thanks!
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