Pytheas is strongly committed to providing liquidity on a consistent basis and being fully immersed in a vast range of financial markets.

Pytheas' pricing acumen and execution prowess allow clients to promptly increase or lessen their exposure to a specific financial instrument. Enabling and assisting clients to adjust their asset exposure efficiently and rapidly without disrupting the markets is a key component of the firm's risk management offerings.

Pytheas has the analytical talent, risk management expertise, structuring know-how and financial backbone to help issuers and investors protect their financial exposure against the vagaries of today's markets. Whether disruptions or opportunities arise from fluctuations in interest rates, currency values, commodity prices, stock values or credit ratings, Pytheas' unique combination of research, problem-solving insight, innovativeness and delivery proficiency ideally positions it to develop and implement solutions that help clients achieve their business goals and strategic risk/reward priorities.

In keeping with the organization's "all-around relationship" approach, derivative product professionals cooperate intimately with the investment banking and industry experts and regional specialists to design risk management solutions that are most appropriate and effective given industry characteristics and geographic constraints and imperatives.

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