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Risk Advisory

We help our customers manage financial risk arising from currency, interest rate or commodity exposure

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  • Identification and quantification of risk

  • Design and implementation of financial strategy

  • Pricing and training

Contact Risk Advisory
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Regardless of how your business operations are affected by commodity prices, interest rates or currency exchange rates, our experts can create a strategy that helps you manage the risk.

Create greater predictability

The purpose of risk management is usually to create predictability. Risk management is about reducing the effects of fluctuations in Interest rates, Currency exchange rates OrCommodity prices, so that the company can concentrate on its core business. In certain situations, predictability can be replaced by symmetry. If the risk profile of revenues and costs is the same, it can result in total exposure being low.

We help you manage financial risk

DNB's Risk Advisory division consists of highly skilled employees with extensive market experience from commodity, interest rate and currency markets. We specialise in financial risk management. The team consists of specialists with sector focus, who have thorough knowledge of financial risk for their respective sectors. Regardless of how your business operations are affected by commodity prices, interest rates or exchange rates, we can create a strategy to manage the risk.

Experienced advisers with diverse industry expertise

Our advisers have experience from a wide range of industries, from banks and life insurance companies to small commodity-intensive manufacturing companies. Regardless of how your business operations are affected by commodity prices, interest rates or exchange rates, we can identify and create a strategy to manage the risk.

Contact Risk Advisory

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Are you affected by changes in exchange rates?

Read more about currency strategy

Are you affected by interest rate changes?

Read more about interest rate strategy

FX and Interest Rate Risk Seminar - manage financial risk

DNB Carnegie's Interest Rate and FX School is a practical training programme for those who wish to manage financial market risk. The course provides a thorough understanding of currency and interest rate markets, as well as the instruments used to manage risk.

Read about FX and Interest Rate Risk Seminar

Commodities School - learn to manage commodity risk

Is your business exposed to commodity risk? The Commodities School provides an introduction to commodity markets, as well as the identification and quantification of commodity risk. In addition, market analysis and hedging strategies will be covered to ensure predictability.

Read about Commodities 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.