Jerry Parker, CEO at Chesapeake Capital
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Jerry Parker


CEO
Chesapeake Capital

Check out the incredible speaker line-up to see who will be joining Jerry.

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Empowering The Buy Side To Embrace Innovation

Wednesday, March 1st, 2017


11:15 360° Perspective: With the return of market volatility, how should you tailor your risk management strategy to better manage the resulting increased exposure?

After the unexpected events of the Swiss National Bank in January this year, alongside the debt debacle with Greece this summer, volatility has well and truly returned to FX markets. With increased volatility comes increased risk, and FX traders now need to ensure they have the right tools in place to accurately measure risk across different currency pairs. This interactive case study will provide expertise on:
  • Risk and volatility- What measures can you put in place to overcome large volatility strikes like the SNB debacle?
  • What technology and analytical tools are essential to provide accurate and timely risk analysis?
  • How will the latest set of monetary policies affect volatility?
  • How can you spot the right kind of trends to predict market movements in FX?