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ABOUT THE INTEREST RATE RISK MANAGEMENT TEAMWachovia’s team of traders, marketers, and quantitative analysts was established in 1993 to structure cost-effective and innovative transactions that permit customers to hedge or manage market risks. To date, we have executed more than 20,000 transactions, with a total outstanding notional amount of more than $1 trillion. Our team of professionals has an average of eight years experience in the derivatives business. With the financial strength of Wachovia Bank, National Association behind every trade (current long-term ratings of Aa2/A+ by Moody’s and S&P, respectively), we create, deliver, and stand behind the hedging and investment solutions our customers need.
Wachovia Securities is the trade name for the corporate and investment banking services of Wachovia Corporation and its subsidiaries, including Wachovia Capital Markets, LLC ("WCM"), member FINRA/SIPC.
Debt and equity underwriting, trading, research and sales, loan syndications agent services, and corporate finance and M&A advisory services are offered by WCM. Mezzanine capital, private equity, municipal securities trading and sales, cash management, credit, international, leasing and risk management products and services are offered by various non-broker dealer subsidiaries of Wachovia Corporation. |