Fluid dynamics

Managing currency risk

In this Q&A with Global Investor/ISF, Mark Hogg, Head of FX Product at RBC Investor & Treasury Services, discusses currency risk management in investor portfolios, including:

  • The impact of recent interest rate movements
  • Different solutions for data management and oversight
  • The importance of considering direct and indirect costs

 

“Make it easy for clients to access your products in a currency-hedged format.”

Mark Hogg
RBC Investor & Treasury Services

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Sources

Originally published by Global Investor Group, Fluid dynamics, August 2022