FX and Economics: Navigating the Market in 2025
As the globalization of world trade and investments grow, the need for a clear vision of Forex risk and Economic impact increases. 2024 represented a year with trends including Carry Trade, Nearshoring, Elections and Central Bank Decisions driving FX pricing and volatility.
Join us for a quick recap of the 2024 FX markets and what we are hearing for 2025 as Monetary Policy, Tariffs, and Inflation are top of mind when considering FX risk and investment.
During the discussion we will provide an overview of terminal functions and analytics as well to help monitor changes in the markets.
Speakers
Michael J. Briody
FX & ECO Specialist
Bloomberg
Ron Jedlicka, CFA
FX & Economics Market Specialist
Bloomberg
Ron is a Market specialist at Bloomberg with a focus on Foreign Exchange, Economics and Digital Assets. Prior to joining Bloomberg Ron led the financial market functions for IBM and their spinoff Kyndryl as the Assistant Treasurer overseeing FX hedging, Interest Rate Hedging, Debt Issuance and Investment Management. Before moving over to the corporate treasury side Ron was both a sales person and trader on the FX desk at Nomura and UBS.