Skip to main content
+ Filter
71-80 of 711 results
  1. Webinar

    Intro to Hedging

    • Corporates
    • Private Equity
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    • Commodity Risk Management
    Financial risk permeates through every corporation. Therefore, learning to identify, assess, and mitigate risk across various asset classes is crucial. In this session, explore how financial derivatives reduce risk and strengthen your hedging vocabulary.
    webinar thumbnail
  2. Guide

    Solving the top 5 challenges to FX visibility

    • Foreign Currency Risk Management
    Finance leaders from global organisations find that gaining a full view of their foreign exchange risk is a key challenge. In this guide, we explore the five main challenges organisations face in gaining a holistic view of their FX risk. We’ll share leading practices and key steps for developing...
  3. Article

    Performing a holistic review of your FX hedging strategy and process

    • Corporates
    • Foreign Currency Risk Management
    • Technology
    Most companies engaged in operational FX hedging will perform at least a cursory annual review under specified policy requirements. That review often fails to include a holistic assessment of fundamental risk management questions, including “Should we be hedging?” “How should we be hedging?” and...
  4. Article

    The new essentials: 5 critical functions for financial risk management technology

    • Corporates
    • Foreign Currency Risk Management
    • Hedge Accounting
    • Technology
    As the role of treasury transforms to keep pace with an increasingly complex global marketplace, treasury teams employ more technology than ever to inform and automate their operations. This article explores five key areas where financial risk management technology can stay ahead of the changing...
  5. Market Update

    BoE and ECB hold rates but signal readiness to cut rates next month

    • Real Estate
    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • U.K. Social Housing
    • Interest Rate Risk Management
    • Foreign Currency Risk Management
    • Fiscal & Monetary Policy
    As expected today, the Bank of England (BoE) held interest rates at 5.25% but signaled that they may cut rates at their next meeting in June, stating that they will be watching April's and May’s economic data closely. In a further sign that the Bank is edging closer to the first rate cut in over...
  6. Market Update

    Fed holds rates but announces a slowing pace of quantitative tightening

    • Real Estate
    • Corporates
    • Financial Institutions
    • Infrastructure
    • Insurance
    • Private Equity
    • Interest Rate Risk Management
    • Fiscal & Monetary Policy
    On Wednesday, May 1, 2024, the Federal Open Market Committee (FOMC) voted unanimously to hold the fed funds rate at a target range of 5.25%–5.50%. This marks the sixth consecutive FOMC meeting with no change to the fed funds target and comes as no surprise to market participants who have pushed...
  7. Article

    Advancing beyond the limits of “one-size-fits-all” treasury platforms

    In today’s ever-accelerating technology landscape, global treasury teams are leveraging turnkey integration to take advantage of specialized tools offering superior performance in key areas across front, middle, and back offices. This shift from the “all-in-one” vs. “best-of-breed” conversation...
    An image of a laptop computer
  8. Market Update

    Expert Conversation with Matt Henry and Joseph LaVorgna

    • Real Estate
    • Corporates
    • Financial Institutions
    • Private Equity
    • Infrastructure
    • Insurance
    • Interest Rate Risk Management
    Matt Henry, Chatham's Managing Partner and CEO, and Joseph LaVorgna, Chief Economist of SMBC Nikko Securities America, Inc. discuss the Federal Reserve's current challenges, how forecasted interest rate cuts and election results will impact the economy, and more.
  9. Market Update

    Interest rate cap extensions and replacements in the current rate environment

    • Real Estate
    • Interest Rate Risk Management
    In the current volatile, high-interest-rate environment, the timing and economics of extending or replacing interest rate caps has become a more strategic consideration for many commercial real estate (CRE) borrowers. This piece highlights the relevant considerations for a CRE borrower with an...
  10. Guide

    Implementing a world-class cash flow hedging program in 10 steps

    • Corporates
    • Foreign Currency Risk Management
    To add certainty amid market volatility, geopolitical tension, and central bank actions, corporate financial organizations are increasingly starting new FX hedging programs, reviewing existing ones, and adding cash-flow hedging to avoid wide swings in key metrics, such as revenue, expense,...
71-80 of 711 results