Risk to Asset Management?
Hi folks! Been working in credit & counterparty risk for awhile (~4years out of undergrad). Most of my experience is analyzing companies, looking through financial statements, earnings call transcripts, notes, md&a, rating agency reports, etc to recommend position size limits at each for our traders. I do a bit of negotiating of credit agreements/ structuring for the larger deals in our book as well. Currently hold the FRM, have a moderate programming background & am working towards finishing the CFA. Have been working in one industry the whole time. Is it possible to move into AM (maybe into the industry group I've been covering?) Or is there anything else I'm missing? / that would help me join? Thanks in advance,
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