Risk Management for Corporates
Our service offering
Our clients face significant challenges in managing their corporate risk such as volatile markets and increasing regulatory demands such as Mifid II, EMIR and Basel III. As a client focused bank we are keen to deliver seamless execution for standard hedging products e.g. FX and MM. We are active on all major multi dealer trading platforms like 360T, FXALL and Currenex. For more complex and strategic situations we provide our clients tailor made solutions for interest rate derivatives, commodity derivatives, hedge coordination, hedging strategies, research and regulatory support.
People make the difference in our business. It is therefore that we are fully focused and dedicated in realizing your goals in a professional and personal way. We are proud to inform you that our clients ranked us #1 for interest rate derivatives in the annual Greenwich survey 2014 and 2015. Our team consists of 15 highly skilled financial market professionals located in Amsterdam, New York, Singapore and Oslo.