Jeff Hurwitz has a comprehensive work experience in risk management. Jeff started their career at Bear Stearns in 1997, where they held various risk control roles. In 2000, they joined Credit Suisse First Boston as the Director of Risk Management for Equity Prime Brokerage in the Americas. Jeff then moved to SAC Capital in 2002 as the Director of Risk Management. In 2005, they became the Principal and Chief Risk Officer at Pequot Capital. In 2008, they joined Plural Investments as the Managing Director and Chief Risk Officer before joining Davidson Kempner Capital Management in 2012, where they currently hold the position of Managing Director and Chief Risk Officer.
From 1989 to 1992, Jeff Hurwitz attended Lehigh University College of Business. During this time, they pursued a Bachelor of Science degree in Finance.
Davidson Kempner Capital Management
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Davidson Kempner Capital Management LP is a global institutional investment management firm with over 40 years of experience. We focus on fundamental investing with an event-driven focus and multi-strategy approach. Our Firm has approximately $38 billion in assets under management with over 500 professionals in seven offices, including New York, Philadelphia, London, Dublin, Hong Kong, Shenzhen, and Mumbai. Our Firm invests globally in a variety of credit and equity strategies as well as real assets. We invest opportunistically across the capital structure and in both public and private markets. Our investment teams collaborate across strategies, asset classes and geographies. Risk management and preservation of capital are our key priorities.