Derivatives and Risk Management Solutions
Financial markets can act in unpredictable manners. Foreign exchange price fluctuations, uncertainty in central bank policies, volatile energy prices, as well as global macro-economic shocks can cause significant turbulence in the markets. Identifying and managing risks has become a critical function within corporations, institutional investors and financial institutions.
Our commitment and dedicated approach to understanding your needs with regards to risk mitigation enables us to provide tailor-made hedging solutions that effectively address your organisation-specific requirements.
Our bespoke solutions are designed to protect clients against adverse market movements by utilising an array of instruments ranging from plain vanilla Forwards, Options and Swaps, to more complex multi-leg or exotic strategies. Moreover, we customize hedging solutions based on:
- Your organisation’s Objectives
- Your organisation’s Risk Tolerance
- Cost Effectiveness.
We offer comprehensive coverage of the underlying markets such as interest rates, foreign exchange, commodities and equities.