Global market access

See the whole field before choosing a position.

A joined-up market view across commodities, currencies, indices, and listed companies — with clear access conditions and risk context.

Global market professionals monitoring multiple asset classes
Global market professionals monitoring multiple asset classes

41

Markets observed

4

Asset groups

24/5

Coverage model

Clear

Pre-trade terms

Our approach

A disciplined route from signal to decision.

Access begins with context. We frame the market, instrument, liquidity, and downside before discussing execution.

01

Define the mandate

Set objectives, time horizon, liquidity needs, and loss tolerance before narrowing the opportunity set.

02

Review the instrument

Understand pricing, custody, leverage, market hours, fees, and the conditions that can change an outcome.

03

Establish controls

Agree exposure limits, reporting expectations, and review points before capital is deployed.

What investors receive

One view across connected markets.

01

Commodity and mineral-linked instruments

02

Major and selected emerging-market currencies

03

Broad and sector equity indices

04

Global listed shares and thematic baskets

Risk note

All market instruments can fall in value. Currency, commodity, leverage, liquidity, and issuer risks may interact. Availability varies by jurisdiction and investor profile.

Start with the market, then choose the instrument.

A desk manager can explain access, suitability, fees, and risks before you decide.

Contact the private desk