Liquidity
The growing requirement for institutional investors to diversify the counterparty risk of their cash balances has seen an increase in the need for alternatives to traditional bank deposits. With cash balances that fluctuate daily, institutional investors require a flexible and secure solution for their working capital and one which continues to offer a comparable yield to deposits with instant accessibility. The liquidity fund range that Credit Suisse’s asset management business has on offer, provides institutional investors with the opportunity to diversify their cash reserves into actively managed funds that are rated by Standard and Poor’s and which offers daily liquidity management, with same-day settlement. By actively managing our liquidity funds, we also provide the potential to benefit from a yield enhancement above conventional 7-day cash deposits over the course of a full market cycle.
With over 20 years’ experience in cash and short duration bond markets, Credit Suisse understands the importance of effective cash management, and our range of liquidity funds can deliver both the flexibility and risk-controlled returns expected from today’s institutional investors.
- Click here for more information on Credit Suisse's US Domestic Liquidity Funds.
- Click here for more information on Credit Suisse's off-shore Liquidity fund range.

