We provide services for FMS-WM in connection with a wide variety of asset classes including Infrastructure Finance, Asset Finance, Public Sector Finance and Structured Products. These services cover assets in around 34 countries, and relate to 594 counterparties.
Our strategic focus includes analyzing, balancing and monitoring both credit and market risks, recommending and executing value enhancing strategies, complex restructurings and borrower negotiations and the ongoing maintenance and reporting of loan, bond and derivative portfolios.
Infrastructure & Asset Finance
The management of finance for infrastructure assets requires specialised knowledge. Transactions typically have long tenors, often more than 25 years. The assets themselves can be complex - power stations, or telecoms infrastructure, for example. The intricacy of the contracts adds another layer of complexity to these transactions. Our Infrastructure Finance team assesses all new and relevant information, understands the implications, identifies risk issues, and formulates the appropriate response.
In Asset Finance transactions, the assets generate the income and act as security for lenders (for example: aircraft, ships, rolling stock, shipping containers). Our deep understanding of cash flows and factors driving demand and pricing makes the difference between full recovery and a loss on an investment where a transaction encounters problems.