Global Financial Solutions
SEB offers a far reaching risk advisory service to corporates and institutions. With teams located in Stockholm, Copenhagen, Helsinki, Oslo and Frankfurt, we provide advice on relating your financial market risks to operational reality on strategic, tactical and operational levels.
As our client, this means that we can assist you in identifying, measuring and managing your financial market risks and returns. We work in a wide range of areas including cash flow hedging, equity hedging, pension fund management, funding strategies, interest rate hedging, commodity hedging, M&A transactions and long-term FX hedging.
Every client is different, but the team employs the same structured analytical process that presents the impact of key decisions on your performance and key ratios. We also capture the interdependency between different financial risks through cross asset class analysis. This includes analysis of foreign exchange, interest rates, commodities and equities.
We support clients with a range of challenges, including acquisition risk management, hedging cross-border cash flows and the impact of outsourcing production on currency risk.