The Canadian bank has recently shifted its focus to volatility control and risk diversification amid a strategy shake up aimed at bringing clients greater flexibility and as well as more asset selections.

Jerome Cloutier ( pictured ), managing director and co-head global distribution cross asset solutions at Bank of Montreal (BMO) highlights the bank’s shift towards synthetic dividend underlyings over the past year, upholding it as the bank’s differentiating factor in the market. “We pivoted towards strategies that are focused on synthetic dividends, and volatility control. That's something that we really focused on because we wanted to bring something different in our issuance

Continue reading and get unlimited access for 7 days with a free trial of SRP.

Get a free trial

Already a subscriber? Login