Banks and Financial Institutions

Banks and financial institutions must adjust their portfolio to a complex environment: regulatory constraints, geopolitical and macroeconomic uncertainties, monetary policy and regime shifts in asset classes.

Banks and financial institutions - charter

Our approach

We offer banks and financial institutions dedicated solutions to meet their constraints along with their search for performance, yield and diversification expectations.

 

We are able to provide a global range of strategic advice, investment solutions, ESG expertise and services to meet their complex challenges.

 

Our approach

We offer banks and financial institutions dedicated solutions

We offer custom solutions to help you achieve your goals

Diversification & benchmark: multi-dimensional range of investment solutions from day-to-day cash management to asset warehousing and services.

 

Operational efficiency: access to our market infrastructure, tools and IT platform such as the execution desk, middle office, intermediation, reporting, etc.

Additional intellectual capital: combination of dedicated teams for banks and financial institutions bringing them all our expertise across their entire value chain.

We support banks and financial institutions finding opportunities in a regulated environment

We adapt to the particular needs of banks and financial institutions 

Our capabilities for banks and financial institutions

Offer liquidity providing off-the shelf funds and tailored mandates

 

  • Turnkey cash management solution
  • Diversification of your risks, including counterparty risk
  • Sharp adequate alternative to central banks deposits

 

 

Cash return enhancement offers liquidity providing off-the shelf funds and tailored mandates

LCR ratio optimisation offers significant returns optimization with investing in assets qualified for LCR HQLA portfolios (Basel III)

Offer significant returns optimisation with investing in assets qualified for LCR HQLA portfolios (Basel III)

 

We offer a global range of HQLA strategies.

Our HQLA solutions are actively-managed investment strategies based on fundamental and quantitative analysis adapted to clients’ needs.

 

We offer a global range of HQLA strategies. Our HQLA solutions are actively-managed investment strategies based on fundamental and quantitative analysis adapted to our clients’ needs.

Offer attractive excess premia by optimising a bucket of the bank's balance sheet

 

We offer tailored made portfolio management based on bank’s capital requirements, capital costs and funding costs with a broad and large range of solutions.

 

 

We offer tailored made portfolio management based on bank’s capital requirements, capital costs and funding costs with a broad and large range of solutions.

Diversification offers a wide range of investment strategies across all asset classes and all geographical areas

Offer a wide range of investment strategies across all asset classes and all geographical areas

 

Seize market opportunities and improve return on investments while minimizing volatility through a wide range of investment strategies:

  • Active and passive management strategies: fixed income, equity, multi asset, smart beta
  • Real assets: real estate, private equity, unlisted debt, infrastructure

 

Discover our range of strategies for banks and financial institutions

Empowering you through our services