Managing Currency Risk Amid Global Uncertainty
Recent macroeconomic and geopolitical events have once again put the currency market in the spotlight. As elections and international tensions threaten to disrupt global trade, gradual interest rate adjustments in response to persistently low inflation are dramatically shaping market dynamics.
Join Bloomberg's exclusive FX seminar to gain an alternative perspective on FX and interest rate expectations, and the tools to effectively manage currency risk through today's volatility.
Join Bloomberg's exclusive FX seminar to gain an alternative perspective on FX and interest rate expectations, and the tools to effectively manage currency risk through today's volatility.
- Economic analysis & interest rate projections
- Option pricing models & volatility
- Forward rate dynamics & FX Futures Markets
- VaR, Risk management & Scenario analysis
Speakers
Max Bruckner
FX Market Specialist
Bloomberg
Max Bruckner, FX Market Specialist at Bloomberg, advises our clients on FX idea development, economics, trade execution and post-trade risk management. With previous client advisory experience at various German banks, he brings a wealth of knowledge and practical solutions to the FX space.