ANZ is focused on adding tangible value to you through the development and execution of solution-based risk management strategies. We work in partnership with you to help identify, quantify and manage financial markets risk. Drawing on our expertise in quantitative analysis and best-practice methodology, our team assists you in managing your exposure to financial markets.
Our services include
- Asset and Liability Management Solutions
- Certainty in cost of funds/reinvestment rate
- Flexibility in interest rate exposure – separating funding/ investment activity from risk management decisions
- Commodity-based hedging solutions
- Transaction Hedging
- Management of foreign exchange risk
- Vanilla and exotic option-based strategies
- Translation Exposure Management
- Risk management for cross-border investments and business activities
- Restructuring Advice
- Review existing interest rate, currency and commodity risk profiles
- Restructuring strategies
Speak to your relationship manager or contact us to learn how ANZ’s Markets solutions can help you reach your business goals.