Non Linear/Structured products
This product line is organised around developing, managing and trading rates, credit and cross-assets derivatives of the G10 countries and emerging markets.
The Product Line is organised around developing, marketing, selling, distributing a complete product offer on the G10 Rates Flow products.
Debt Capital Markets, Global Syndicate & Credit Trading
This global product line is available in major financial centres and includes trading hubs in London, Paris, New York, Hong Kong and Tokyo. The Debt Capital Markets and Global Debt Markets teams work closely together in order to provide issuers and investors with a seamless product offer.
The Treasury product line guarantees liquidity across all convertible currencies for up to two years and provides continuous access to global money markets. With five liquidity centres - Paris, London, New York, Tokyo and Hong Kong - and operating in another 13 countries, it is a major counterparty for many supranational institutions and central banks and therefore eligible to participate in most monetary policy programmes.
Foreign Exchange & Precious Metals
Crédit Agricole CIB offers a full range of spot, forward, option-based and derivative foreign exchange and precious metal products. This business line relies both on a traditional product offer supported by an expert sales force and on innovative products with a structuring team and is designed to support customers by means of high-performance electronic execution systems.
9th Annual Industrial, Infrastructure & Power Credit Conference: assessing Covid-19 aftermaths & exploring green frontiers
World Bank prices long-dated €2bn 30-Year Sustainable Development Bond
Crédit Agricole CIB structures the first green ABCP refinancing of trade receivables