Mastering hedging techniques
Effectively protect your portfolios against market volatility
In an uncertain economic climate, financial professionals must be able to anticipate and react quickly to market fluctuations. This module allows you to master the most effective hedging techniques to secure your financial assets and those of your organization.
Whether you are a risk manager, treasurer or portfolio manager, you will discover, step by step:
- The most effective hedging levers: forwards, options, swaps…
- Their advantages, limitations and conditions of use depending on the context
- Frequent errors to avoid during operational implementation
- Interactive scenarios to develop your business reflexes
- Concrete and immediately applicable advice from field experience
This module can be taken independently for targeted learning, or as a key element of the overall “Finance, Management Control & Procurement,” focused on controlling market risks.
Gain peace of mind and responsiveness: become a key player in financial hedging within your organization.