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Oppenheimer Europe

Oppenheimer Europe provides financial services to European based institutions and corporations across corporate finance, equities, fixed income, debt capital markets, and portfolio strategy research.

Investment Banking
The European Investment Banking Team provides innovative strategic advice and estrategies to a diverse client base, including public and private companies.  We advise our clients on public and private mergers, acquisitions, divestments and capital raises, focusing mainly on the technology, media, telecoms, and consumer sectors. Our experience and understanding of the industries we cover combined with our truly global platform, extensive network and contacts allow us to be a valued long-term partner for our clients.

Institutional Equity
Oppenheimer Europe has a team of experienced sales professionals providing coverage to European institutional clients offering global trading capabilities and research (including event driven and data analytics). A dedicated interactive research team assists company management teams globally to be an integrated part of our research offering.

Fixed Income
Oppenheimer Europe’s established Fixed Income business provides a sales and trading platform for institutional investors located in Europe and trading government bonds, corporate bonds, high yield debt, distressed debt, and convertible bonds.

Debt Capital Markets
Oppenheimer Europe’s Debt Capital Markets Team works alongside the team in New York to strengthen Oppenheimer’s growing debt capital markets origination offering. Both teams work closely with our Fixed Income Sales Team and Investment Banking Team to raise debt capital.

Portfolio Strategy Research
Oppenheimer Europe has a dedicated Portfolio Strategy Research Team providing clients with

  • an ‘integrated’ product suite publishing equity risk, valuation and size and style models, regional and country equity allocation recommendations, sector and industry preferences
  • A stock selection employing a ~5500 constituent global fundamental stock picking tool based on Monitor of Analyst Earnings Revisions (MAER)
  • A bespoke product that can be customized for seamless incorporation into a client’s investment process