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FINCONET aims to be
an international market leader in the provision of Risk Management Advisory
solutions and Bespoke Global Fund Management.
Risk Management Advisory. Finconet specialises in the provision of advisory
solutions for governmental, non-governmental institutions (NGO), central banks,
commercial banks and other financial institutions. It is also a provider of Hedging
and Risk Management solutions for financial institutions and international companies
with exposure to currency, financial and commodity risk such as energy.
The company benefits from particular expertise in emerging markets thanks to
the company's principal Michel Bouchet, the author of "Country Risk Assessment"
and current JP Morgan Fellow of International Finance in NYC. Finconet is currently
involved with the modeling of Debt Analysis, Restructuring, Discounted Buyback and
Conversion, Credit Risk and Rating Analysis along with Country Risk Assessment.
Finconet Fund Management. The FFM division of Finconet deals with the provision
of Bespoke Global Fund Management for institutional and accredited investors.
Using sophisticated Quantitative Models for Forecasting and Portfolio construction,
FFM provides Global Investment Solutions from a wide range of Hedge Fund Strategies
and markets (Equity, FX, Bonds, Commodities), personally tailored to each client's
needs with corresponding recommended minimum Managed Account funding levels.
For more detailed information, read our Business Profile, review latest press releases
or study FINCONET’s reports.
FINCONET offers an extensive portfolio of solutions designed to support
a wide range of finance related issues. A comprehensive repository of product
information is available, together with password-protected access to product support
services. Details about our training courses and booking forms are provided, in addition to
a full range of product brochures and case studies, as is FINCONET’s subscriber based
weekly email. |
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