eSeminar - CPT Bearing

Currency Hedging in Wealth and Asset Management

Overview

This eSeminar is a recorded session of the ‘Currency Hedging in Wealth and Asset Management’ webinar held on 6 October 2022.

In this eSeminar, you will learn about how currency dynamics and currency global drivers impact Forex (FX) risks, and the reasons why one should hedge such risks. You will also learn about the process and the different types of FX hedging strategies.

Objective

By the end of the webinar, you will be able to:
1. List the currency global drivers that contribute to FX risks
2. State the reasons why one should hedge such risks
3. Describe the process of FX hedging and the types of hedging strategies

Content

1. FX Risks Explained
2. Why Hedge FX Risk
3. How to Hedge FX Risk

Who should attend

• Wealth managers
• Single and Multi-Family offices
• Long only fund or ETF fund managers
• Private Equity and Venture Capital fund managers (including their portfolio companies)

Speaker/Course Instructor

Alain GROSHENS
Mr. Alain Groshens is the CEO of SystematicEdge, a firm specialising in investment and currency management. For 30 years, Alain has been directly in charge of multi-asset portfolio management and head of trading divisions for major European Investment Banks. An FX and Fixed Income expert, he has worked with some of the world’s largest companies and institutional investors on their Asset Liability Management strategies. He has a Bachelor in Math & Physics from Pierre & Marie Curie University in Paris, a Masters degree in Computer Science and a Master in Financial Markets from Dauphine University in Paris.

Details

Code
TEEEC22003901
Venue
ePlatform
Relevant Subject
Type 4 - Advising on securities
Type 9 - Asset management
Language
English
Level
Hours
SFC:1.00, PWMA:1.00
Fees
All Member: HK$200
Staff of Corporate Member: HK$200
Non-Member: HK$400