Activities dedicated to the corporate world allow to manage the risks associated to financial markets such as interest rate movements, currency fluctuations, commodity volatility, protecting the company's core business.

  • Support to cash management, establishment of corporate policy, investment policy
  • Risk Management arising from interest rates and assessment of various forms of financing
  • Structuring bond ad hoc by major European financial intermediaries
  • Implementation of strategies for hedging exposure to commodity market
  • Use of advanced analytical techniques and research to investigate specific markets