Tag: currency risk

Bound raises $24.5m Series A to automate FX hedging

Bound, an automated FX risk management platform, has raised $24.5m in a Series A funding round to help businesses protect against increasing currency volatility...

How to evaluate currency overlay strategies in multi-asset fund returns

As more asset owners adopt centralised currency management strategies, the need to assess the effectiveness of currency overlay decisions has become increasingly important. A well-constructed currency attribution framework enables firms to quantify the value these decisions bring to a fund’s overall return.

Currency management made easier with PEARL 9.3’s enhanced performance tools

As global portfolios become more geographically diversified, asset owners are placing greater emphasis on managing currency risk.

How currency risk influences portfolio returns and investment strategy

As global markets continue to face volatility driven by shifting economic policies—including trade developments—asset owners are placing greater emphasis on understanding and mitigating currency risk.

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