Quant Risk Management Areas  |
Fixed Income Top
Bonds
- Government, Corporate, Emerging Market, Eurobonds, MBS, ABS, callable/puttable, dual and reverse dual currency, multi-currency and exotics.
Repurchase Agreements
- Repo, reverse-repo, security borrowing / lending, sell/buy-back, buy/sell-back, collateral-only, cash-only.
Guaranteed Investment Certificates
Cashable, Non-redeemable, Index Linked.
Derivatives Top
Interest Rate
- X-CCY, Interest Rate Swaps, Swaptions, Cap/Floors, FRAs.
Futures and Options
Covering financial furures and options as well as commodity futures and options listed on Liffe, EUREX, CBOT, CME, CSCE, COMEX, LIME and OSAKA.
Credit
Credit default swaps, total return swaps, binding/non binding forward bond trades, credit linked note, spread options.
Equities
Equity swaps, options, covered warrants, baskets, convertible bonds, CFD's.
Bond
Bond options, baskets, spreads, warrants.
Commodity
Price Swaps, Price Options, Linked Notes.
Currency
Currency spots & forwards, swaps, listed futures, listed options.
Commercial Lending Top
Syndicate loans
Bilateral loans
Treasury Top
FX
Interbank, corporate, spots, forward and swaps, investment forward and swaps, NDF, FX options including single and double barrier, digital, touch options, Asian, etc.
Money Markets
Commercial Paper, Certificates of Deposit.
Loans & Deposits
Fixed term and call.
Equities Top
Stocks and shares, equity basket, index and equity options and futures, convertibles and warrants, equity swaps, equity linked notes, exotic and structured deals.
Commodities Top
Natural gas and natural gas liquids, crude oil and refined products, precious and base metals, coal, emissions, soft commodities.
Quant Risk Management A to Z  |