Foreign Exchange white papers

Found  16 white papers and resources

The Risk Library provides white papers on current thinking, modelling and best practice in foreign exchange which will show how foreign exchange can be used to your organisation’s best advantage.

Foreign exchange is the exchange or conversion of one currency into another currency. The global foreign exchange markets are exponential in size and are trading constantly.


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CES China 120 Futures - A Useful Offshore Hedging Tool For Cross-Border Investment

Company: Hong Kong Exchanges and Clearing Limited

This white paper explores the tools needed to support cross-border stock investment in Shanghai, Shenzhen and Hong Kong. The paper further provides a convenient and cost efficient offshore market tool for Mutual Market investment. VIEW SUMMARY

Category: Commodity Derivatives | Published: 06 March 2017 | Type: White Paper

Rating: + 6

Prime-of-prime solutions – Sustainable solutions and evaluating means of access to credit in foreign exchange markets

Company: SwissQuote Bank

Based on a survey of global FX market participants, this white paper explores the preferences, needs and attitudes clients and the broader FX market have in relation to tiered credit intermediation. VIEW SUMMARY

Category: Risk Management | Published: 21 February 2017 | Type: White Paper

Rating: + 5

A Fresh Perspective: Enhancing Transaction Cost Analysis Effectiveness

Company: IHS Markit

Having examined existing trends and attitudes to transaction cost analysis, this white paper describes how organisations can build upon current their use of this analytical tool in order to improve the investment process. VIEW SUMMARY

Category: Foreign Exchange | Published: 11 April 2016 | Type: White Paper

Rating: + 5

Weekly Market Outlook: Commodity rally stalls

Company: SwissQuote

This white paper provides analysis for major and emerging market currencies. The paper explores the future trends of the financial industry and discusses the recent outlook on commodity prices. VIEW SUMMARY

Category: Foreign Exchange | Published: 01 April 2016 | Type: White Paper

Rating: + 3

Weekly Market Outlook: Fed’s dovish decision triggers risk rally

Company: SwissQuote

This white paper provides analysis for major and emerging market currencies. The paper explores the future trends of the financial industry and discusses the recent risk rally in equities and commodities. VIEW SUMMARY

Category: Currency Derivatives | Published: 18 March 2016 | Type: White Paper

Rating: + 5

Weekly Market Outlook: ECB Goes All In

Company: SwissQuote

This white paper provides analysis for major and emerging market currencies. Exploring the future trends of the financial industry. Discussing issues such as the action ECB took on interest rates. VIEW SUMMARY

Category: Currency Derivatives | Published: 11 March 2016 | Type: White Paper

Rating: + 4

Weekly Market Outlook: All eyes on ECB

Company: SwissQuote

This white paper provides analysis for major and emerging market currencies. Exploring the future trends of the financial industry. Discovering issues such as ECB action and the Chinese GDP target. VIEW SUMMARY

Category: Currency Derivatives | Published: 08 March 2016 | Type: White Paper

Weekly Market Outlook: FX market exposed to event risk.

Company: SwissQuote

This white paper provides analysis for major and emerging market currencies. Exploring the future trends of the financial industry. VIEW SUMMARY

Category: Currency Derivatives | Published: 29 February 2016 | Type: White Paper

Rating: + 2

China’s Quest to Global Currency Recognition

Company: Thomson Reuters

This white paper explores the reasons behind the IMF’S decision to include the Chinese yuan into its Special Drawing Rights; the global implications of the inclusion; and what the markets can expect from China in 2016. VIEW SUMMARY

Category: Market Data | Published: 18 February 2016 | Type: White Paper

Rating: + 4

Greek Crisis 2015: Stress Testing Scenarios for Asset Management Portfolios

Company: Axioma

In this paper, we explore the history of the latest Greek crisis, review approaches taken by market practitioners to stress testing, and outline potential scenarios that portfolio managers may wish to examine. VIEW SUMMARY

Category: Asset Liability Management | Published: 29 September 2015 | Type: White Paper

Rating: + 17

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