Whether you represent a large corporation, financial institution or a commercial business, one of the largest exposures to fiscal risk will inevitably be created by movements in the global financial markets.
To help our clients reduce these risks, we offer a comprehensive range of cost effective risk management solutions across a variety of global asset classes.
As a Aa3 rated bank, we are one of the strongest possible counterparties in the market.
A global market-maker in over 120 currency pairs, our tailored solutions range from vanilla to options products, traded 24 hours a day.
A global market maker with particular strengths in the UK and Europe, our tailored solutions range from swaps to more structured derivatives.
One of few institutions able to hedge sizeable inflation risk exposures through the application of both standard and more complex inflation swaps and inflation-linked financing solutions.
Global access to a variety of commodity classes, delivering structured solutions for clients with commodity market exposures.
Fast, convenient FX and money markets dealing via our MarketsLink platform.
We offer a number of solutions for companies looking to maximise return on short term capital, ranging from overnight deposits to Call accounts.
Our funding capacity and structured credit expertise provides a solid partner and a flexible platform for both issuing clients and wholesale investors.
Specialist guidance and reporting information on the International Financial Reporting Standards relevant to derivative accounting.
Analysis of economic and financial market events and data, along with incisive technical strategies and forecasting.