Risk Management
We work closely with you to manage exposure to currency risk, interest rate risk, and commodity risk. By staying connected to a global network of expertise, our investment bankers deliver world-class risk management strategies. You can rely on our deep understanding of market volatility and risks to provide cutting edge advisory support on:
- Interest Rate Risk
- Options
- Swaps
- Floors
- Caps
- Collars
- Forward Starting Swaps on LIBOR
- Commodities Risk
- Options
- Swaps
- Forwards
- Futures and Collars on WTI Crude Oil
- HFO
- LNG
- Platts
- Precious Metals
- Soft Commodities
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Structured Products
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Exotics
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Synthetic Options and Swaps
