Dynamic FX Risk Management in Volatile Times – Roadmap to Success / Through Innovation and Consistency
What you can expect:
- Practical insights into FX risk management at global companies
- Dealing with market volatility, geopolitical risks, and an uncertain interest rate environment
- Use of flexible FX hedging strategies to capitalize on market opportunities
- Best Practices for Integrating Hedging Strategies into Treasury Processes
Lecturer:
General information:
master class
Wednesday, May 6, 2026
2:30 p.m. - 3:15 p.m.
Studio 2.1
German
AI-assisted translation: English | French | Italian | Spanish | Portuguese
Sponsor:
HSBC Germany