With an extensive range of credit products in local and G3 currencies, we assist our clients in building credit solutions to manage credit risk exposures and enhance investment yields.
Whilst active across global credit markets, we have specialist focus in Asian credit, providing innovative structures tailored to specific maturity, currency, credit quality, cash flow and yield objectives.
Based in Singapore, Hong Kong, Dubai, London and Mumbai, our Credit team offers investment tools in G3 and a range of local currencies to provide structured asset solutions that help our clients meet specific investment needs and manage credit risk exposure.
We can tailor balance sheet, regulatory capital management as well as cross-border financing and investment solutions to requirements. Our credit risk management tools include credit default swaps, total return swaps and bond options.
Investment products can be structured in the form of swaps, notes, deposits and (in some situations) loans.
Tap into our innovative foreign exchange solutions. Few providers, if any, have the depth and breadth of our coverage.
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