As currency hedging strategies gain popularity, ETF providers broadly agree they offer clear benefits in a weaker US dollar ...
Explore currency overlay strategies that separate currency risk from asset management, helping investors mitigate risks and ...
Amid recent volatility, many firms are now choosing to outsource their currency hedging to reduce the operational burden, however there are many different strategies that managers can choose to manage ...
Rate volatility in advanced economies drove even larger moves in G7-linked derivatives. BIS reports that euro-denominated ...
For years, financial institutions, payment providers and treasury platforms have treated foreign exchange risk management and operational functions as independent domains. Businesses process payments ...
From the blog: Pension scheme assets have become more international in recent years, meaning schemes have more opportunities for generating both growth and income. Asset diversification has also ...
Reviewed by Thomas Brock Fact checked by Suzanne Kvilhaug Investors often include foreign or international bonds in their portfolios for a few primary reasons – to take advantage of higher interest ...
Understanding the construction of investment instruments is crucial for predicting their reactions to market changes and making sensible investment decisions. The SPDR® Bloomberg Short Term ...
Learn how exchange rate fluctuations impact businesses and discover effective strategies to manage economic exposure and safeguard profitability.
Domestic market participants are accustomed to high nominal yields; local treasury bills linked to the Selic often offer double-digit returns, creating a strong home-market bias. The challenge, ...
Over the past few months, we have seen both economic and political uncertainty across the globe. With this, equity indices have come under pressure.Yet, amid this volatility, two assets stand tall: ...