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AAA Rated Industrials   (5 year) - 5.22
AAA Rated Industrials (10 year) - 5.36
AAA Rated Industrials (15 year) - 5.46
AAA Rated Industrials (20 year) - 5.54
AAA Rated Industrials (25 year) - 5.60

BBB Rated Industrials   (5 year) - 5.82
BBB Rated Industrials (10 year) - 6.24
BBB Rated Industrials (15 year) - 6.50
BBB Rated Industrials (20 year) - 6.69

Income Security Dividends

Security Amount Ex-Div Date
CMO PRA $0.40   Sep 15
CMO PRB $0.10   Sep 15
DEI $0.19   Sep 26
HBC PR $0.46   Sep 11
PETNP $1.19   Sep 8
RBS PRF $0.48   Sep 11
RBS PRH $0.45   Sep 11
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Head of Interest Rate Risk - Treasury, UK-London
Head of Interest Rate Risk - Treasury
Company: Hudson Banking  
Location:   UK-London  
Compensation:   ££Above market rate  
Position Type:   Employee  
Employment type:   Full time  
Updated:   19 Aug 2008  
eFC Ref no:   439520  
 
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Global Banking Group requires an experienced risk manager with a trading background to take responsibility for strategy and execution of interest rate risk.

Role Responsibilities

  • Development, execution and management of interest rate risk strategies.

  • Input and direction into the activities of the money market desk.

  • Provision of market intelligence and pricing guidance to the Product solutions team.

  • Development of the Interest Rate Risk Management framework and product development.

  • Oversight, direction and development of the liquidity portfolio.

  • Communication of risk appetite, risk strategy and performance to the UK Asset and Liability Committee.

    Candidate Requirements

    • The role holder will need to have extensive experience in the markets with a trading background and a demonstrated ability in managing a profitable risk portfolio.

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Contact:
Paul Walton
Company:
Hudson Banking
Telephone:
0207 187 6975 / 07854 918 770
Email:
paul.walton@hudson.com
Website:
www.jobs.hudson.com
Address:
Chancery House
53-64 Chancery Lane
London
UK
WC2A 1QS

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