Interest rates
Economic research
A full range of interest rate solutions
As part of our global financial risk management service, we provide a full range of interest rate risk management solutions, tailored to the specific needs of our clients, supported by research, structuring and back office execution of the highest quality.
For all corporates and financial institutions, managing interest rate risk is a key concern. With our detailed understanding of risk modelling and the interest rate markets, we are able to help you to:
- Identify and manage risk exposures and risk management solutions
- Mitigate, and where possible negate, short-term risks and achieve long-term strategic value and stability.
Our large proprietary trading book, as well as the significant size and range of our corporate client base, allows us to enjoy a leading position in the UK and European markets.
Backed by a significant trading capability with reliable execution and supported by comprehensive research and analysis, you will receive tailored solutions based on a well developed understanding of your financial risks – often built up over many years of service.
We aim to deliver long-term value for our clients across a wide range of currencies and maturities.
As a ‘Aa3’ rated bank by Moody’s, our clients enjoy the security that comes with dealing with one of the strongest global market counterparties.

