What’s Your Strategy for International Allocations? Seeking Opportunities Against Geopolitical Risk and the Strong Dollar
International allocations face many headwinds in 2022, including a strong U.S. dollar and rising geopolitical tensions. However, many investors are doubling down on their risk by investing in unhedged strategies.
In this upcoming webcast, join WisdomTree and VettaFi for a discussion on the benefits of currency hedging in international allocations, in order to help access a “truer” exposure to foreign markets.
- How to identify and mitigate currency risk in a portfolio
- Hedging costs and currency risk differences between developed and emerging markets
- Where opportunities in China and broad Asia stocks emerge in periods of volatility
NOT accepted for one hour of CFP/CIMA CE credit for live and on-demand attendees
CFA Institute members are encouraged to self-document their continuing professional development activities in their online CE tracker.
Jeremy Schwartz, CFAGlobal Chief Investment Officer
Liqian RenDirector of Modern Alpha
Todd RosenbluthHead of Research