These liquidity capabilities include direct debt financing to Treasury, loan or asset portfolio recapitalization/securitization, balance sheet refinancing, Tier 1 and Tier 2 capital, acquisitions, payment of regulatory fines, solvency capital support, non-performing loan (NPL) portfolios, debt syndication of loans and portfolio asset management based financing structures. Our liquidity support does not require collateral or assets and can be unsecured in qualified structured transactions with proper credit support.
National Standard’s liquidity products can be used as a single source institutional capital alternative to share capital increases, capital markets borrowing and liquidity borrowing. Our liquidity is provided generally in U.S. Dollar or Euro denominated currencies, as we prefer not to directly take currency risk, however currency hedging by the client may be utilized to offset the currency exchange if needed. Our bank and institutional products can have maturities of 3 to 40 years and are competitively priced compared to market terms.
All transactions and products are in complete compliance with all United States regulatory and compliance requirements.
National Standard delivers a diverse mixture of compelling financing, liquidity programs, economic and monetary driven policy based products and solutions to sovereign, sub-sovereign, state owned enterprises, government entities and Ministries of governments across the global landscape. We are seasoned experts in the economic affairs and monetary policy of governments and because of this focus an
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