Professionalism since 2005
Analysing the financial risk and the size of the instalment in view of the repayment period.
Checking whether currency conversion pays off.
Better fixed rate or variable rate?
Analysis of the cost of credit.
JKFT is based on the knowledge and experience of Jarosław Kosaty, PhD, gained at the largest institutions in the Polish banking and financial sector, such as PKO Bank Polski, PZU Group, Santander Bank, and ING Bank Śląski. His forecasts and analyses have consistently ranked highly in international financial market forecast rankings, such as Bloomberg and Focus Economics.
We combine advanced statistical and econometric methods with fundamental and technical analysis of financial markets. This synergy allows us to more effectively reduce uncertainty in the area of allowed fluctuations determined by quantitative methods, increase the efficiency of identifying potential turning points in the financial markets over both short and long research horizons, and enhance the effectiveness of analyses and hedging.
We take a comprehensive approach to each individual issue. We start with an in-depth analysis of global trends affecting all key financial markets and then focus on specific industries or markets and their unique circumstances. We believe that only scenarios and solutions aligned with current global trends can deliver satisfactory results with an acceptable level of risk.
We offer comprehensive analyses and forecasts of the financial markets, both short-term and long-term, to support the identification of current and potential risks.
We provide expert advice on managing positions in the financial markets with the aim of reducing associated risks through financial hedging.
We offer personalized training courses that enable you to acquire practical skills and knowledge in financial market analysis and market risk management.
We provide professional support in the analysis and optimization of foreign currency loans and liabilities, as well as assistance to clients in negotiations with banks.
Clients have access to experienced analysts who provide ongoing support and advice. With their knowledge and expertise, clients can make informed financial and hedging decisions in a dynamically changing market environment, which, by reducing costs, increases the potential for additional profits through optimization.
These services help develop effective strategies that increase the chances of profit and minimize the risk of loss. Through detailed analysis of the market, trends, and risks, clients can better plan their activities in the financial markets and make decisions that yield real financial benefits.
Each hedging strategy is tailored to the requirements of the individual client, ensuring greater efficiency. Thanks to the flexibility of the approach, clients are introduced to the solutions that best suit their objectives in taking positions in the financial markets.
Through professional analysis and advice, clients can reduce the risks associated with adverse fluctuations in financial markets. Our services enable us to better anticipate market movements and hedge against their consequences, resulting in more informed decisions and improved financial stability.
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