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Saturday, 27th July 2024
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Corporate Treasury Report: Hedging strategies for the crisis

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The view beyond year end and into 2010
Financial markets will remain volatile through the year end, and conditions will remain challenging next year, and even into 2010. The Head of Treasury-Ireland at Barclays Capital, Ciaran Kane outlines the approaches and products available to manage markets-related risk across currency, interest rate and commodity markets, the latter being just another area that bears continued attention, as the risk of a resurgence of oil prices indicates.
Foreign exchange hedge - a November case study by BOA
In this case study, based on rates and forecasts applying last month, Eric Ohayon of Bank of America highlights a tailored solution for a European corporation operating in EUR, and wishing to hedge against a dollar appreciation.
Different approaches to fx exposure, as one size won’t fit all
Des Leavy of Ulster Bank sets out an approach to debt hedging strategies, and a forex exchange hedging strategy as the credit crisis continues to unfold.
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