Risk Management
According to our experience, companies find hedging against market fluctuations increasingly important. Changes in interests, exchange rates and commodity prices may have a significant effect on a company’s earnings and competitive position.
The optimal way to manage financial risks depends on the company. The resources and investments needed for steering a successful risk management process vary from company to company. While Nordic companies’ risk management views differ from each other, they share the opinion that the biggest risk is lack of a clear approach as well as inadequate consideration of financial risks.
If you want additional information about risk management, contact our Financial Advisory unit in Nordea Markets.
Our telephone number is +358 9 369 50950.