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Article
Managing FX risk in a volatile market
- Corporates
- Foreign Currency Risk Management
- Technology
FX volatility poses a growing challenge for treasury and financial teams in today's increasingly unpredictable global landscape. Geopolitical tensions, tariff turmoil, shifting central bank policies, and inflationary pressures are driving currency fluctuations across markets. These fluctuations...
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Guide
Request your Q1 2025 Market Credit Spreads report
- Real Estate
- Valuation
Credit spreads shown are averages based on market rate conclusions for independent debt valuations conducted as of March 31, 2025. The market spread for an individual loan may vary based on property and loan characteristics, including, but not limited to, location, tenant profile, cash flow, and...
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Market Update
Turn to Chatham: Enhancing M&A outcomes with independent hedge counterparties
- Interest Rate Risk Management
In our Turn to Chatham video series, Jackie Bowie provides exclusive insights into market developments shaping the U.K. and Europe.
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Article
Advancing beyond the limits of “one-size-fits-all” treasury platforms
In today’s ever-accelerating technology landscape, global treasury teams are leveraging turnkey integration to take advantage of specialized tools offering superior performance in key areas across front, middle, and back offices. This shift from the “all-in-one” vs. “best-of-breed” conversation...
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Article
Hedging future fixed-rate debt
- Interest Rate Risk Management
Organizations can take advantage of the current rate environment to reassess their interest rate exposure. Locking in rates on future fixed-rate debt issuances can be particularly advantageous because of the heightened volatility in yields and substantial global uncertainty around geopolitics and...
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Market Update
M&A: proactive risk management, hedging, and beyond
- Corporates
- Financial Institutions
- Infrastructure
- Insurance
- Private Equity
- Real Estate
In our second episode of Expert Conversations: Beyond, Kern Roberts and Benoit Duhil de Benaze explore the challenges and opportunities in deal structuring and M&A activity. They highlight the importance of financial risk planning, discussing strategies such as pre-hedging, scenario analysis, and...
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Webinar
Semiannual Market and Economic Update
- Corporates
- Financial Institutions
- Private Equity
- Real Estate
- Interest Rate Risk Management
- Foreign Currency Risk Management
Below, watch Jackie Bowie and Mark Weiss provide a comprehensive view of the forces shaping the financial markets and global economy. With uncertainty surrounding interest rates, inflation, and geopolitical conflicts, businesses must remain agile in managing risk. Discover market trends, updated...
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Article
Striking the right balance in hedging when your lender offers derivatives
When borrowing from a bank that can offer derivatives themselves, borrowers often face the choice between using their lender’s in-house hedging services directly or partnering with an independent advisor. While the convenience of staying with a lender can be appealing and lenders may strongly...
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Market Update
Adapting to challenging times through leadership and collaboration
- Corporates
- Financial Institutions
- Infrastructure
- Insurance
- Private Equity
- Real Estate
This episode of Expert Conversations: Unpacked features insights from Jackie Bowie and Moritz Sterzinger from a recent interview with Jonathan Goldstein, Co-Founder and Chief Executive Officer, Cain International. In their conversation, Jackie and Moritz dive deeper into Jonathan's perspectives...
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Guide
Request your 2024 debt assumption report
- Real Estate
- Valuation
The purpose of this report is to provide information to real estate investment managers and their auditors on how a debt assumption affects the overall real estate transaction price. The loan assumption market is an important aspect in understanding how to value debt from the borrower's...
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