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MANAGING CASH RESERVES IN THE POST-COVID ERA

The coronavirus epidemic has reinforced expectations of negative interest rates, as well as adding credit and liquidity risks for those managing cash reserves.

But this year’s market shock is also creating unexpected new opportunities, say Jean Sayegh, head of fixed income at Lyxor Asset Management, and Olivier de Besombes from Lyxor’s global investment solutions team.

In this Expert Opinion, Sayegh and de Besombes describe how Lyxor’s dynamic, flexible approach to cash management can help treasurers invest their surplus cash at a minimal cost, even in the most difficult market environment.

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Lyxor Euro 6M