Here, we move from the theoretical and the macro to the more practical, delving into FX risk management and how to design and implement a hedging program. We explore factors that cause currency volatility and what goes into creating a hedging strategy.
Macro trends in alternative funds and institutional investment
We explore the practical challenges that fund managers and investors face as a result of their cross border investment activities, providing novel insights and actionable strategies to enhance the way they think about their international activities.
In our new series, Forward Points, we will go through the 'whys' and the 'hows' of international investment, and specific cases where a prudent and well-thought-out currency risk management strategy might help increase alpha.