CFO’s Guide to Managing FX Risk and Volatility

CFO's Guide to Managing FX Risk and Volatility

The CFO’s Guide to Managing FX Risk and Volatility, a PYMNTS and Cambridge Global Payments collaboration, illuminates the FX risks companies can encounter when expanding abroad, how having an FX market roadmap can help them thrive and which resources will assist in optimizing their foreign holdings. The FX Risks and Currency Swaps edition delves into historical case studies and more than 7,000 quantitative data points on market indicators, global export values and currency valuations. PYMNTS used this data to map and contextualize the modern FX market and surrounding economy, including what it means for international businesses’ profitability.

DOWNLOAD THE LATEST PLAYBOOK

First Name*

Last Name*

Title*

Company*

Work Email*

BY COMPLETING THIS FORM, I HAVE READ AND ACKNOWLEDGED THE TERMS AND CONDITIONS .

INSIDE THE AUGUST PLAYBOOK

More than 75 percent of all U.S. stock market trades were made using algorithms in 2014.

Brexit caused the dollar/pound exchange rate to double overnight from $0.38 USD/£1 to $0.96 USD/£1.

The global currency swap market’s value was estimated at $94.5 trillion as of December 2017.

LATEST NEWS
To Top