Interest Rate Risk Management

  • Are your investments and operating cash flows affected by interest rate movements?

    Having a strategy for managing such shifts that’s in line with business objectives is where we come in.

Interest Rate Risk Management

With any major investment surety of cash flows and minimising the cost of funds are of vital importance.

Rochford works with its clients and their bank(s) to ensure that any hedging solution undertaken is best aligned to their objectives, executed in an efficient manner and on fair terms.

In the years ahead, as the course of global monetary policy normalises, risk and opportunity in interest rate markets will multiply exponentially.

“After our purchase by private equity our leverage increased materially, Rochford’s advice with both initial risk management solution and ongoing thereafter have helped ensure that financial covenants are protected while allowing management to focus on strategic objectives”