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Mastering FX Risk in Trump's Trade Policy Era

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Manage episode 481091988 series 3308668
Content provided by Kantox. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Kantox or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://staging.podcastplayer.com/legal.

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🎙In our first CurrencyCast episode of Season 11, we dive into how the current US administration's unpredictable tariff policies are reshaping corporate FX risk management.

As trade policy uncertainty continues to dominate global markets, financial leaders need new strategies. In this episode, we explore:

  • Why traditional FX forecasting is increasingly challenged
  • The breakdown of established market correlations
  • Smart approaches to forward point optimisation
  • The accelerating shift toward a multi-currency world

Whether you're managing treasury at a multinational or simply interested in the intersection of politics and currency markets, this episode offers practical insights for navigating these uncertain times.

Visit our website to learn more about the benefits of automation in a volatile market context: https://bit.ly/3Z4cwCQ

Elevate your FX risk management strategy now

  continue reading

85 episodes

Artwork
iconShare
 
Manage episode 481091988 series 3308668
Content provided by Kantox. All podcast content including episodes, graphics, and podcast descriptions are uploaded and provided directly by Kantox or their podcast platform partner. If you believe someone is using your copyrighted work without your permission, you can follow the process outlined here https://staging.podcastplayer.com/legal.

Send us a text

🎙In our first CurrencyCast episode of Season 11, we dive into how the current US administration's unpredictable tariff policies are reshaping corporate FX risk management.

As trade policy uncertainty continues to dominate global markets, financial leaders need new strategies. In this episode, we explore:

  • Why traditional FX forecasting is increasingly challenged
  • The breakdown of established market correlations
  • Smart approaches to forward point optimisation
  • The accelerating shift toward a multi-currency world

Whether you're managing treasury at a multinational or simply interested in the intersection of politics and currency markets, this episode offers practical insights for navigating these uncertain times.

Visit our website to learn more about the benefits of automation in a volatile market context: https://bit.ly/3Z4cwCQ

Elevate your FX risk management strategy now

  continue reading

85 episodes

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