Tag: FX risk management
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Global FX outlook for February 2026: Pressure points everywhere
Explore the global FX outlook for February 2026, including USD trends, JPY intervention risk, and insights to navigate uncertainty.
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Non-deliverable forwards: A hedging guide for funds
Learn how to use NDFs to hedge FX risk, safeguard offshore investor returns, and strengthen global investment proposition.
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Top considerations for NAV hedging
NAV hedging helps investment funds manage currency exposure and stabilize valuations. Learn how this strategy works.
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Are you ready for 2026? A global economic forecast
Geopolitical risks, trade wars, shifting monetary policies, and a weakening US dollar are expected to persist into 2026. Explore excerpts from our 2026 global economic forecast and prepare your business for the year ahead.
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Foreign exchange hedging strategies for global investment funds
Explore hedging strategies that help investment funds reduce FX risk, protect returns, and meet investor mandates.
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Global markets rocked as trade war enters next stage
Tariffs rise, exemptions tighten, and legal uncertainty grows as global markets prepare for deeper disruption and shifting trade dynamics.