Market Risk Management

Manage risk in your business

Protect your business by managing exposure to changes in interest rate, foreign currency, commodities, equities, and credit markets. We offer a full range of risk management tools and strategies to help customers manage their financial and market risk exposure. Our risk management specialists work with you and your relationship manager to help you structure a hedging program that meets the needs of your business.

We provide the following customized products to corporates, institutions, governments, and other entities. Click below to learn more about managing your specific market risks.

Commodity Risk

Manage your exposure to volatile agriculture, metals, and energy prices. We help both producers and users hedge commodity prices.

Currency Risk

Manage and reduce your exposure to currency exchange rates.

Equity Risk

Protect the existing value of your equity positions or increase the borrowing capacity of your stock-secured loans.

Interest Rate Risk

Hedge against fluctuating interest rates, and manage interest rate uncertainty on existing, new, or future debt.

Tax-Exempt Strategies

Hedge against fluctuating interest rates, and manage interest rate uncertainty on existing, new, or future debt.

Trade Credit Risk

Manage your exposure to concentrated or high-risk corporate receivables in the event of a customer bankruptcy.