Trouble picking what CIB Credit Risk group to choose
Hey everyone. I’ll be interning at a BB doing CIB credit risk this summer. I have a good idea of what each group does and I like the people from each group but I’m having trouble deciding how to rank them. The groups in question are Real Estate, Diversified Industries (Investment Grade), Asset Managers, and Public Finance. I’m not entirely sure where I want to end up career wise atm, so it’s a little hard ranking these groups as I have interest in all of them. My trouble is understanding which one would be best long term. Wondering if anyone can provide some insight?
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