We work and partner with many corporates locally. Our in-depth market insights and knowledge allow us to scale up corporates understanding on how to effectively mitigate market risk and optimize their capital structure.
We are well-positioned to guide and support corporates in effectively manage interest rate, foreign exchange, or commodities exposures as well as dealing with the complexities of derivatives markets. Additionally, managing debt risk and navigating the delicate areas of debt and capital restructuring is at the core of everything we do. Drawing upon our deep expertise and comprehensive understanding of the financial landscape, we assess your unique financial situation and tailor strategic solutions to optimize your debt structure, minimize risk, and enhance your financial flexibility and stability. Through careful analysis and close collaboration, we will guide you towards implementing proper debt restructuring measures that align with your business objectives, ensuring long-term sustainability and resilience in the face of economic challenges. We place great emphasis on creating strategies aligned with the existing capital structure and tailored to our corporate clients’ risk management framework.