HSBC Global Banking and Markets operations around the world
Managing risk
HSBC assists clients in managing their risk exposures so as to minimise the impact of market volatility on the company. This includes analysing the business/balance sheet structure of the company and quantifying the net exposures in terms of interest rates, foreign exchange, mismatch in cash flows, etc.
Based on the risk appetite of a client, hedging strategies are then tailor-made to suit the client's needs.
These fact sheets have been produced to help you in your management of interest rate exposure. If you would like to discuss these products in further detail, please speak with your HSBC bank manager or your local regional treasury manager.
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Fact sheets
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Wong, Ivan Head of Corporate Sales, ASP Global Markets Level 16, HSBC Main Building 1 Queen's Road Central Hong Kong Direct Line: 852 2822 3818 |
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General Enquiries, Global Markets 8 Canada Square, Level 4 London E14 5HQ Direct Line: 1 604 918 5889 |
FX Cross Rates
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