Two offices, eight markets under continuous coverage.
Core equity and credit books, plus firm-wide risk and portfolio construction.
European credit, rates and FX coverage; gateway to sterling and EMEA issuers.
Governance-reform equities and one of the deepest listed-options markets in Asia.
Industrials and autos, Bund futures, and the reference curve for European rates.
Luxury, energy and utilities; a primary venue for European event-driven credit.
Defensive healthcare and staples compounders, plus franc-denominated hedging.
Semiconductor capital equipment and listed holding structures at scale.
Nordic industrials and high-quality small and mid-cap compounders.