Meitav Risk Management is part of the Meitav Investment House which was established in 1979, and is one of the senior Investments Houses in Israel. Meitav has over 5 billion USD Assets Under Management in mutual funds, provident funds, pension funds and segregated portfolios. Meitav also has an underwriting and investment banking business as well as a financial instruments company, financial information company and college for capital markets studies.
Meitav Risk Management aims to help companies handle their market risk in Forex, Interest Rate and Commodities. Our team involves people who worked in Israeli banks and came from various bases of knowledge.
Usually, we begin with an extensive survey examining and measuring the company's financial risk while paying close attention to the hedging products as well as to the methodology itself. Later we present our recommendations to the company's board with a detailed analysis as to risk exposures and ways to handle them.
Meitav Risk Management trades on behalf of the company in order to find the best price available in the market. Due to our relationship with different financials brokers and banks all over the world, we can help our clients to establish an account with these institutions in order to get the best price execution on their trades.
Our client base varies between different sectors. We work with importers, exporters, industrial, infrastructures, housing, financial and high-tech companies.
For more information please contact :
Tel: +972 (0)3 7778213
Cell: +972 (0)54 2467590
Museum Tower, 15th Floor, 4 Berkowitz St, Tel Aviv 61180 Israel