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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 12, 20255 min read
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Paul Stafford
5 min read


Ashley Groves
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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


Norwegian Krone Gains, ECB Rate Cut Consideration, Middle East Tensions Boost Oil
Discover how Norwegian Krone gains lead currency markets, ECB considers July rate cut, and Middle East tensions stabilize oil prices.

Matheus Zani
3 min read


Global Financial Shifts: Fixed Income Revival, Yen Intervention, and Currency Hedging
Key Takeaways This Week: In a significant turn of events not witnessed in nearly a generation, fixed-income investments are reclaiming...

Matheus Zani
3 min read


Navigating 2023: 10 Hedging Lessons from Alternative Asset Managers
It's crucial to reflect on the lessons learned and challenges faced within the realm of alternative asset management.

Matheus Zani
2 min read
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