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FX Initiative Blog

Actionable insights on foreign exchange risk management from FX Initiative.

Time Zones & FX Trading Trends (Video)

Time Zones & FX Trading Trends (Video): Discover how time zones impact global foreign exchange (FX) market trading, volume, and liquidity. This video is a preview of FX Initiative’s FX Market Overview course as part of Learning Objective #2.

 

To learn more, start your FX risk management training today, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples & events at FXCPE.com.

 

Features of FX Forward Contracts (Video)

Features of FX Forward Contracts (Video): Find out the distinctive features of foreign exchange (FX) forward contracts and discover how they can be used to hedge FX risk. This video is a preview of FX Initiative’s FX Spot & Derivatives course as part of Learning Objective #1.

 

To learn more, start your FX risk management training today, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples & events at FXCPE.com.

 

Identify Internal Controls for FX Risk Management

Interested in identifying internal controls for FX risk management? FX Initiative’s FX Risk Policy Drafter tool will help your firm establish internal controls by appointing personnel to the roles of trading, accounting, and confirmation, and specifying the individual responsibilities that fall under each segregated duty. Get started with our foreign exchange risk management training, which provides 24/7 365 access to our complete suite of foreign exchange (FX) continuing professional education (CPE), examples and events at FXCPE.com. Start Training >

 

 

Attend the Net Investment Hedging webinar!

You're invited to the

Net Investment Hedging webinar!

Thursday, November 15th | 2PM Eastern | 1 CPE Credit

Program Overview
Join us for a live webinar and learn how to hedge assets & equity in foreign subsidiaries operating abroad. This 1-hour session covers 4 key learning objectives:

  1. Discover the concept of a foreign exchange (FX) net investment hedge.
  2. Recognize the accounting and cash flow implications of hedging subsidiaries.
  3. Identify the top reasons why some corporations employ net investment hedges.
  4. Explore how forward contracts can be used to hedge equity in foreign operations.

Who Should Attend
New and seasoned finance, accounting, treasury, and related professionals (CPA, CIA, CRMA, CFE, etc.) interested in international business.

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