У нас вы можете посмотреть бесплатно Webinar | Trends in Hedging Strategies and Pricing: 2025 Mid Year Review или скачать в максимальном доступном качестве, видео которое было загружено на ютуб. Для загрузки выберите вариант из формы ниже:
Если кнопки скачивания не
загрузились
НАЖМИТЕ ЗДЕСЬ или обновите страницу
Если возникают проблемы со скачиванием видео, пожалуйста напишите в поддержку по адресу внизу
страницы.
Спасибо за использование сервиса ClipSaver.ru
In this mid year 2025 webinar, Isaac Wheeler and Frank Fiorilli of Derivative Path examine how hedging strategies, market pricing, and execution dynamics have evolved through the first half of the year. The discussion focuses on what banks, credit unions, and institutional finance teams are seeing in real time across interest rate and foreign exchange markets. Isaac and Frank break down how macro uncertainty, shifting rate expectations, and counterparty behavior are influencing hedge structures, pricing discipline, and risk management decisions. Key topics covered include: How hedging strategies have adjusted amid rate volatility and changing forward curves Trends in hedge pricing and execution, including spreads, liquidity, and counterparty behavior What finance teams should consider as they evaluate new hedges or restructure existing programs Practical implications for ALCO discussions, balance sheet strategy, and commercial client hedging What the second half of 2025 may bring for interest rate and FX risk management Isaac Wheeler, Managing Director of Balance Sheet Strategy at Derivative Path, brings a strategic perspective shaped by advising banks and credit unions on interest rate risk, balance sheet hedging, and ALCO decision making. Frank Fiorilli, Managing Director of Bank Solutions, adds a practitioner lens focused on execution, pricing realities, and how institutions are navigating hedging decisions in today’s market environment. This session is designed for CFOs, Treasurers, ALCO members, risk managers, and commercial banking leaders looking for a grounded, mid year assessment of hedging strategy and pricing trends, based on real market activity rather than theory. Derivative Path provides advisory expertise and fintech solutions that help financial institutions, private capital firms, and commercial clients manage interest rate, FX, and commodity risk with confidence. For more insights on hedging strategies, pricing trends, and risk management best practices, visit DerivativePath.com.