For most of modern market history, trading flows were seen as little more than the smoke from the fire – evidence of deeper ...
While the initial wave of real money USD hedging flows disappointed some dealers, many believe there is more to come ...
Fears of further political turmoil in Turkey have sparked nervous reactions from foreign investors who had piled back into ...
Hybrid options, which use correlation between two or more assets to cheapen the cost of convex bets, have become a hedge fund ...
French asset manager grabbed euro call options at low prices in a tactical pivot for its FX absolute return fund ...
As developed countries continue to rack up deficits, the big question looming over markets is, who will buy the growing pile of sovereign debt? Hossein Zaimi, global head of macro at Barclays, doesn’t ...
The maturation of any asset class follows a remarkably consistent pattern. From equities to fixed income and foreign exchange, markets typically begin with centralised, transparent order books that ...
CME Group is establishing ties with key vendors to expand the distribution of primary market foreign exchange liquidity from EBS Market and its new FX Spot+ venue to a broader client base. In the past ...
US mutual funds and exchange-traded funds went into April’s tariff turmoil holding the highest net long US dollar position in recent years. According to FX Markets’ Counterparty Radar data, mutual ...
As the US dollar has continued its fall after April’s tariff turmoil, foreign investors in US assets have had to make a trade-off between FX risks and high hedging costs. The wide interest rate ...
Amid the ongoing US-China trade war this year, Chinese exporters chose to hold steady on their hedge ratios, according to dealers, owing to high hedging costs and expectations of a stable spot rate.
The turmoil from US president Donald Trump’s ‘liberation day’ tariff announcements rattled global foreign exchange, interest rate and equities markets, where it triggered significant volatility and ...