 Our mission is to develop new banking products to provide our customers with flexible working capital management tools and increase the market position. We provide customized risk management products such as forward contracts and derivative instruments to help our customers effectively manage interest rate and currency risks.
IBT provides 4 main categories of hedging instruments and investment vehicles:
Exchange Rate Products:
We provide importers and exporters an integrated hedging platform, including forward contracts and currency options, to minimize the exchange rate fluctuations and optimize the business performance.
Interest Rate Products:
Through interest rate products, such as interest rate swaps, we help our customers effectively manage their funding costs and currency risks.
Money Market Instruments:
Our money market instruments give companies additional sources to raise short-term capital.
Structured Products:
Compnies select the most appropriate product based on their risk/return tradeoffs to improve the overall business performance
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