If you’re currently considering raising new finance are you also considering hedging?
The current interest rate and credit spread environment presents an opportunity for treasury departments to solidify their interest rate and refinancing risk framework. During the assessment and implementation of the optimal strategy, it is important to consider the significant complexities around derivatives pricing, valuation, regulation, accounting and counterparty documentation.
This ACT webinar discusses important topics you should consider before, during and after the strategy execution process:
Pre-deal
Execution
Post-trade
The webinar will concludes with a Q&A session for the panel of speakers.
Sponsored by:
Download the slides:
Webinar presentation: A fresh approach to interest rate risk management