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We are authorised by the FCA to act as advisor on investment portfolios and specialise in the analysis of their optimisation and restructuring.
Through our multi-brand approach, our mission is to support professional clients in the construction of customised financial instruments that allow them to implement the best strategies, based on the clients' needs and taking into account market variables.
To this end, we take into account the quality of the issuer and its strengths (rating and expertise) and seek out the most efficient solutions.
The study and design of each product is carried out
through the following stages:
1
We analyse the market for structured products in search of the most appropriate strategy, in relation to investors' needs.
2
We identify the most suitable product category, also based on market conditions.
3
If necessary, we can create customised and innovative structures.
4
We pay attention to the issuer's rating with a dynamic valuation approach.
5
We capture the strengths of each issuer (some specialise in currencies, some in commodities, some in indices, some in equities, etc.).
6
We look for a competitive price, subjecting it to the verification of our valuation models.
1
We analyse the market for structured products in search of the most appropriate strategy, in relation to investors' needs.
2
We identify the most suitable product category, also based on market conditions.
3
If necessary, we can create customised and innovative structures.
4
We pay attention to the issuer's rating with a dynamic valuation approach.
5
We capture the strengths of each issuer (some specialise in currencies, some in commodities, some in indices, some in equities, etc.).
6
We look for a competitive price, subjecting it to the verification of our valuation models.
Values
INDIPENDENCE
From any institution, bank, public entity or corporate.
REPUTATION
Ability to constantly deliver on targets.
CONSISTENCY
With final investors needings.
METHOD
Proprietary evaluation models based on elaboration of the options theory and behavioural finance.
INDIPENDENCE
From any institution, bank, public entity or corporate.
REPUTATION
Ability to constantly deliver on targets.
CONSISTENCY
With final investors needings.
METHOD
Proprietary evaluation models based on elaboration of the options theory and behavioural finance.
Srenghts
FINANCIAL KNOWLEDGE
Long term experience in different financial instruments (derivatives, bonds, equities).
MARKETING SKILLS
Ground experience in marketing and media relation.
Leading sessions in financial training workshops.
CLIENTS
Different strategic skills (financial, behavioural and communication) let us fully serve large to Institutional clients.
FINANCIAL KNOWLEDGE
Long term experience in different financial instruments (derivatives, bonds, equities).
MARKETING SKILLS
Ground experience in marketing and media relation.
Leading sessions in financial training workshops.
CLIENTS
Different strategic skills (financial, behavioural and communication) let us fully serve large to Institutional clients.
FS First Solutions LTD
37th Floor, One Canada Square, London E14 5AA, UK
Tel. +44 (0) 20 7712 1521
Email: infohidden
FS First Solutions Ltd is authorised and regulated by the Financial Conduct Authority of the UK (FCA)
Copyright © 2010-2026 First Solutions. All rights reserved.
FS First Solutions LTD, 37th Floor, One Canada Square, London E14 5AA, UK - Tel. +44 (0) 20 7712 1521 - Email: infohidden
FS First Solutions Ltd is authorised and regulated by the Financial Conduct Authority of the UK (FCA)
Copyright © 2010-2026 First Solutions. All rights reserved.
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