Mr. Geifman is responsible for risk management due diligence, performance analytics, and quantitative analysis of hedge funds and direct investments, and assists the credit strategies team in evaluating real estate debt related investments. Prior to joining GCM Grosvenor, Mr. Geifman was a Risk Management Team Leader with the Federal Reserve Bank of Chicago from 2009 to 2011. From 2002 until 2009, Mr. Geifman was an Executive Director with JPMorgan, where he ... (login for more professional bio)