Pegasus Capital

Clearly in managing financial risk, knowledge and experience are paramount and with over 25 years working on the trading floors of some of the largest investment banks Pegasus Capital is suitably experienced to review client portfolios and individual transactions, presented in an easily understandable format.

A risk management framework is extremely important for any client that hedges risks in the financial markets. We work closely with clients to ensure that any interest rate risks, credit risks, counterparty risks, currency risks, inflation risks and other market risks are identified, assessed and hedged accordingly.

A View From The Bridge - May 2020 (2)

The risks of a deflationary outcome remain very elevated. Our understanding of likely household responses is becoming more informed, particularly with regard to genuine uncertainty, precautionary savings balances being built (where possible) and the likely consolidation of credit related debt. Turning the tide on the risk of viral infection and saving lives is the driving policy of government, but by definition this just pushes another rising tide of shrinking demand onto the economy.

PegasusCapital - 07/05/2020