Release of “Asset Based Terms, Sectors, and Dilutions”

Release of “Asset Based Terms, Sectors, and Dilutions”

15 September 2023 by Erik Timmermans

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Atlantic Risk Management Announces the Release of “Asset Based Terms, Sectors, and Dilutions” – Essential Definitions for ABL, ABS, Trade and Receivables Financing Professionals

Atlantic Risk Management (Atlantic RMS) is excited to announce the upcoming release of their new book, “Asset Based Terms, Sectors, and Dilutions”. Based on many years of industry experience and set to be released next week, this guide provides a summary of sectors and definitions of terms commonly used in the industry.
Written by Atlantic RMS’s CEO Richard Hawkins, this book was born as a personal reference during the COVID-19 lockdown and is based on his extensive knowledge working in the commercial finance, receivables, trade finance, ABL, and ABS industries.
“The exercise of writing this book highlighted the lack of consistency in terminology across the finance industry sectors,” says Hawkins. “Many people now entering the field do not receive the same kind of formal training that was offered in the past, so I am hoping that this book will be a useful resource”
Key features of the book will include common sectors in the industry and their potential dilutions and a glossary of commonly used terms.
“Asset Based Terms, Sectors, and Dilutions” will be available to order starting 18th September 2023.
For more information or to inquire about pre-order and bulk purchase options, please contact Sharon Ryan at
For media inquiries or interview requests, please contact Jessica Spackman at
About Atlantic Risk Management:
Established in 1997, Atlantic Risk Management Services Ltd. (Atlantic RMS or ARMS) has worked on thousands of cases across multiple sectors and jurisdictions.
With operations in both London and Chicago, we work with many financial institutions across the globe including banks, trade finance houses, specialty lenders, factors, discounters, asset-based lenders, private equity companies, investment bankers and advisors.
We provide specialist risk management services across a wide range of situations in many countries and seek to deliver the highest quality of service in support of our clients. We have extensive collateral management knowledge and expertise with a focus on receivables, inventory, loans, and other asset classes.


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