Managing currency risk in volatile markets

In this podcast, Mark Hogg, Head of FX Product at RBC Investor & Treasury Services, discusses key currency risk considerations for global investors in today’s uncertain environment.


Listen on Soundcloud | View transcript


Access the podcast to learn more about:

  • The impact of inflation and higher interest rates on currency risk management
  • Important considerations in times of rising fixed income yields
  • The focus of investors as major currency pairs break out of multi-year ranges
  • What the future holds for currency risk management and hedging programs
“We should never forget the importance of doing the basics seamlessly—day in and day out.”

Mark Hogg
RBC Investor & Treasury Services


Disclaimer

This content is provided for general information only and does not constitute financial, tax, legal or accounting advice, and should not be relied upon in that regard. Neither RBC Investor & Treasury Services nor any of its affiliates accepts any liability for loss or damage arising from use of the information contained in this podcast.

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