Managing Risks in Foreign Exchange

New York: 11 & 12 June 2013
London: 19 & 20 June 2013

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Learning outcomes:

  • An in depth knowledge of the risks which are present in the FX market
  • Understanding of how these risks can be mitigated
  • Appreciation of how volatility in the FX market affects risk levels
  • An update on the regulatory stance on clearing FX products
  • Simple strategies for hedging risks using FX options.


Course dates & venues

New York, 11 & 12 June 2013

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London, 19 & 20 June 2013

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Course Tutors

NEW YORK

> Matthew Magidson, Counsel, LOWENSTEIN SANDLER LLP

> Felix Shipkevich, Principal, SHIPKEVICH PLLC

> Mayra Rogriguez Valladares, Managing Principal, MRV ASSOCIATES

> Soren Haagensen, Managing Director, SOCIETE GENERALE

 

LONDON

> Gerald Ashley, Managing Director, ST MAWGAN & CO

> Felix Shipkevich, Principal, SHIPKEVICH PLLC

> Jim Hughes, Director of Business Risk, CLS SERVICES

> Gabriel Medina, Manager, Regulatory & Risk Analytics, HSBC