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Dynamic FX Risk Management in Volatile Times – Roadmap to Success / Through Innovation and Consistency
What you can expect:
  • Praxisnahe Einblicke in das FX Risikomanagement von global agierenden Unternehmen
  • Umgang mit Marktvolatilität, geopolitischen Risiken und unsicherer Zinslandschaft
  • Einsatz von flexiblen FX-Sicherungsstrategien zur Wahrung von Markopportunitäten
  • Best Practice für die Integration von Hedging Strategien in Treasury Prozesse
Lecturer:
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