
Public Markets
At the forefront of innovation, our public market solutions empower financial professionals to craft bespoke investment strategies tailored to their unique goals. Leveraging advanced technology and our global Partner network, we deliver tailored investment products designed to simplify portfolio management, enhance decision-making, and optimize the trading process in dynamic market environments.

Comprehensive Public Markets Solutions
Our product offering, including Actively Managed Certificates (AMCs) and other flow payoffs, is meticulously crafted to address the needs of modern investors in public markets. By blending innovation with practicality, we create products that allow for seamless adaptation to market fluctuations, robust portfolio diversification, and efficient alignment with strategic objectives. Whether it's optimizing risk, improving operational efficiency, or achieving targeted exposure, our solutions ensure financial professionals remain agile and competitive in a rapidly changing world.
Actively Managed Certificates (AMCs)
The flagship products for Asset Managers, Actively Managed Certificates (AMCs), are a versatile solution for implementing dynamic investment strategies. These certificates allow the Managers to adjust holdings in real-time, providing the agility needed to capitalize on emerging trends or mitigate risks as markets shift. With AMCs, financial professionals can diversify across asset classes, customize investment approaches, apply their fee overlay and achieve greater control over their portfolios - all backed by a robust platform that fosters confidence and precision in decision-making.
Flow Structured Products
Utilizing the DNA of the team, the Aero Client Platform supports all services around the issuance and maintenance of flow structured products, being able to combine the fixed income component from various funding sources and the option part from external hedging providers. Such products include Capital Protection Notes, Reverse Convertibles, Range Accruals, Warrants, Money Market Certificates and other flow payoffs. As a result, the final product provides investors with optimized counterparty exposure, without bank issuer risk.
