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Capital Market Activities
Capital Market activities consist largely of arranging and placing of medium term financing (up to 7 years) on a best efforts basis. The Company acts as an agent for the placement of debt instruments for prime corporate issuers or certificates of deposit (generally of a short-term nature) issued by banks in the Region. The Company as a general rule does not retain this type of risk on its balance sheet. These debt instruments are offered on a best-efforts basis to United States and European financial institutions (not limited to banks), banks in the Region, Edge Act banks and United States branches and agencies of foreign banks. In addition, the Company may also offer debt instruments to foreign private investors subject to meeting all regulatory requirements.

Financing arrangements to be offered include but are not limited to the following:

  • Medium-term structured trade (import/export) finance
  • Future-flow Securitization (receivables such as credit cards)
  • Medium-term financing to refinance existing liabilities
  • Bridge-financing
  • Leveraged Recapitalizations
  • Private Placements
  • Mergers & Acquisitions

Use of Legal Counsel
The Company has experience working with numerous law firms across the region with proven expertise in documenting trade and capital markets transactions.

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