BMO Capital Markets helps you manage risk with integrated debt, currency, interest rate and commodity solutions. We also provide efficient funding and liquidity management to our corporate, institutional and government clients.
Our professionals, located in Calgary, Chicago, Houston, New York and London, develop hedging strategies for a variety of commodities, including crude oil, natural gas, refined products, natural gas liquids, base and precious metals.
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Whether you are looking for yield enhancement or market strategies to manage risk, our North American team provides top-tier derivatives sales and trading advice to achieve your objectives.
With a global perspective and pricing expertise in all major and minor currencies, we can help you cut foreign exchange risk and tap into new opportunities. We hold a dominant position in the Canadian-dollar foreign exchange market and are top-ranked with large hedge and pension funds for institutional liquidity and pricing capacity.
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Foreign Exchange Management Policy: Objectives and Controls
Interest Rate Derivatives
As one of the largest trading operations in North America, we offer strong trade execution and settlement capabilities, at competitive prices. Our advanced technological capabilities and a strong balance sheet allow us to deliver the highest-quality market risk management. The legal counterparty for interest rate derivative transactions is Bank of Montreal. Ratings are available here.