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Guide
Establishing a risk policy framework
- Real Estate
- Interest Rate Risk Management
- Fiscal & Monetary Policy
The world is full of market and political shocks. Their timing/impact on markets are difficult to predict. Implementing a risk management policy and reviewing it regularly allows you to understand your material risk exposures, and how to control those risks based on predefined policy parameters. -
Guide
Purchase price allocations in times of uncertainty
- Real Estate
- Valuation
The purchase price allocation is a critical audit matter in accounting for a new acquisition. Amid a recession, the valuation of the land, building improvements, and leases in place of an asset requires abundant testing and reconciliation to ensure the conclusions reflect fair market value. -
Market Update
What is Modern Monetary Theory?
- Real Estate
With government debt levels reaching new highs relative to GDP, and deficits ballooning, now seems an appropriate time to examine Modern Monetary Theory (MMT). This piece aims to provide a high-level overview of MMT and discusses some of its claims. -
Article
Video | Hear what clients are saying about Chatham Financial
- Corporates
- Interest Rate Risk Management
- Foreign Currency Risk Management
- Commodity Risk Management
- Hedge Accounting
- Valuation
- Technology
Chatham's team of passionate experts brings a best-in-class hedging strategy and technology platform to corporations — supporting you every step of the way. Hear what senior treasury professionals from JBT, Installed Building Products, and NuSkin are saying about us. -
Market Update
ISDA’s IBOR Fallbacks Supplement and Protocol for U.S. CRE investors
- Real Estate
- Interest Rate Risk Management
- Fiscal & Monetary Policy
On Friday, October 23, the International Swaps and Derivatives Association (ISDA) launched the IBOR Fallbacks Supplement and Protocol, which provides a framework for transitioning interest rate derivatives from USD LIBOR to SOFR. -
Guide
Managing fund level liquidity
- Foreign Currency Risk Management
How to manage cash liquidity when hedging the FX risk of non-liquid assets. We are witnessing an increasing number of funds acquiring assets not just cross border but also cross continent. This list of considerations will help you navigate your fund’s FX risk and develop a robust hedging strategy. -
Article
3 steps: How CIOs can use accounting and operations to prepare for yield-enhancing investment opportunities
- Insurance
- Corporates
- Hedge Accounting
Amid market volatility and all-time low interest rates, insurance CIOs can position their organizations to act and execute on yield-enhancing investment opportunities by preparing strategies, technical capabilities, and operational processes in advance. -
Market Update
Chatham executes first Freddie Mac SOFR interest rate cap
- Real Estate
- Interest Rate Risk Management
On Wednesday, September 9, Chatham executed the first SOFR-indexed interest rate cap on behalf of a commercial real estate (CRE) borrower in conjunction with the closing of a CBRE-originated Freddie Mac financing. -
Article
Interest rate swap for an LBO financing: Three benefits of hiring an advisor
- Private Equity
- Interest Rate Risk Management
The key benefits of engaging an advisor for an interest rate swap in an LBO financing. -
Guide
SONIA: A Comprehensive Guide
- Real Estate
- Regulatory Compliance Advisory
How SONIA, the benchmark rate chosen to replace GBP LIBOR, works and what drives its movements
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