MS Valuation Risk Control
Hello my lovely monkeys,
I desperately need your help. So i have an offer from Morgan Stanley from Europe in this specific department. The thing is that i am coming from a non-target University so it is my best bet right now. However i am worried about the transferable skills of derivatives pricing, different product value, hedging etc.. that i will get from this position. What is some exit opps for this position?
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