Webinar

Managing FI & FX Risk in 2024: Tools, Consensus and Predictive Models

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Central bankers are rethinking their approach to economic & market forecasting. In this webinar we will demo a new generation of economic model develop by the Bloomberg Economist.

Discussion topics include:

By leveraging Bloomberg's exclusive economic models, you can gain more insight into the data.
Create custom scenarios to manage risk exposure.
Gain a better understanding of rate and foreign exchange market expectations

Speakers

Fabrizio Ferrini

Market Specialists - EMEA Rates/FX

Bloomberg

Fabrizio has over 20 years of experience in the financial markets. He has worked in several investment banks both in Italy and in the UK with responsibilities in various markets (Southern Europe, Israel, Russia and the UK), asset classes (Foreign Exchange, Commodities, FI and Equity) and roles (trading and sales). At Bloomberg, where he has worked since 2012, he has a role as a workflow specialist in Italy, Spain, Luxembourg and Switzerland. It is responsible for assisting the needs of local markets and contributing to the development of proprietary risk and data solutions.

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.

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