Explore currency overlay strategies that separate currency risk from asset management, helping investors mitigate risks and ...
In 2025, despite a nearly flat yen, WisdomTree Japan Hedged Equity Fund outperformed its unhedged counterpart by more than ...
Over-hedging is a risk management strategy that creates a position larger than the original. Learn how it works and view a ...
Bob Stark, global head of Market Strategy at Kyriba—winner of two global FX Tech awards—says lack of data visibility, not a ...
One of the drawbacks that comes with investing in foreign stocks is their higher volatility relative to domestic stocks. From January 2000 through June 2017, a U.S.-based investor holding a fund that ...
A detailed analysis examines various methods to protect investments when market downturns occur. The article reviews several techniques and provides insight into how each strategy works. Investors can ...
Dmitry Pugachevsky, director of research at Quantifi, explores how banks manage inflation risk using inflation swaps and inflation-linked bonds as hedging instruments So, it seemed inflation was on ...
Derivatives are key risk management tools that enable financial and non-financial institutions to diversify their risk portfolio and reduce earnings volatility. The insurance industry specifically ...
Vitesse Energy remains a Buy, with intrinsic value estimates well above the current share price, despite oil market headwinds ...
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