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Featured Article


How Trump’s 2025 Tariffs Sparked a Global Trade War and Shook Financial Markets
Discover how FX hedging for alternative funds can reduce currency risk, protect investor returns, and enhance fund performance. Learn best practices for structuring, managing liquidity, and minimizing hedging costs.

Paul Stafford
Jun 125 min read
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FX Hedging Strategy Comparison: Why Simulations and Violin Plots Outperform Traditional Payoff Diagrams
Choosing the right FX hedging strategy is complex, with countless derivatives and structured products to consider. Traditional payoff diagrams fall short in helping firms compare strategies effectively, as they lack insight into the likelihood of outcomes. This article explores how Product Comparison Analysis, combining advanced market simulations and violin plots, provides financial institutions and corporates with a clearer, data-driven way to evaluate mean performance, var

Paul Stafford
4 min read


How to Hedge FX Risk in The Chaos Tipping Point : Simulating Black Swans and Building Resilience
Discover how to hedge FX risk during extreme market volatility using advanced simulation tools. Learn why traditional models fail during chaos and how jump diffusion simulations can help visualize tail risk. Deaglo’s Strategy and Margin Simulators empower funds and corporates to assess hedging performance, margin requirements, and IRR impact—making risk decisions faster and smarter. Book a demo today to see it in action.

Paul Stafford
4 min read


Optimizing FX Rate Forward Points: A Strategic Approach for Risk Managers
Risk managers can optimize FX rate forward points to enhance profit margins and reduce hedging costs. Forward points reflect the difference

Matheus Zani
3 min read
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