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Risk Advisory

DNB Carnegie help our customers manage financial risk that arises from foreign exchange, interest rate or commodity exposure

Professionals discussing
  • Identifying and quantifying risk

  • Designing and implementing a financial strategy

  • Courses and training

Contact Risk Advisory
Oil tanker out on the sea

No matter how your company is affected by commodity prices, interest rates or FX rates, our experts can create a strategy to help you manage the risk.

Create greater predictability

The purpose of managing risk is to create predictability. Risk management is about reducing the effects of fluctuations in interest rates, foreign exchange (FX) rates or commodity prices, so the company can concentrate on its core business. In certain situations, predictability can be replaced by symmetry. If the risk profile on income and costs is the same, it may result in low overall exposure.

We help you control financial risk

DNB Carnegies’s Risk Advisory department consists of 11 highly skilled professionals with broad market experience of the commodity, interest rate and foreign exchange markets. We understand how to manage financial risk. Our team is made up of specialists who focus on particular industries and are experts on financial risk in their respective sectors. Regardless of how your business is affected by commodity prices, interest rates or foreign exchange rates, we can create a strategy for managing risk.

Experienced advisers with varied industry expertise

Our advisers have experience from a number of different industries, from banking and life insurance companies to small, commodity-intensive manufacturing companies. No matter how your company is affected by commodity prices, interest rates or FX rates, our experts can create a strategy to help you manage the risk.

Contact Risk Advisory

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Are you affected by changes in FX rates?

Read more about foreign exchange strategies

Are you affected by interest rate changes?

Read more about interest rate hedging

FX and Interest Rate Risk Seminar – control financial risk

Our FX and Interest Rate Risk Seminar is a practical course for anyone who wants to manage of financial market risk. Get a thorough understanding of the FX and interest rate markets in addition to the instruments used to control risk.

Read about the FX and IR Risk Seminar

The Commodity School – learn to control commodities risk

Is your business exposed to commodity risk? The Commodity School gives you an introduction to the commodities markets and teaches you how to identify and quantify commodity risk The course also covers market research and hedging strategies to ensure predictability.

Read about our Commodity school

Our services

  • Interest rate hedging

    How to hedge against the effects of exchange rate changes?

  • Currency hedging

    How to hedge against major foreign exchange fluctuations?

  • Commodity hedging

    How to hedge against fluctuations in commodity prices?

  • Foreign exchange rates

    Find different foreign exchange rates here.

  • FX trading for businesses

    With DNB MET, your business can monitor and trade currencies 24/7.

  • Risk Advisory

    Our experts help you prepare hedging strategies.