Throughout 2022 Q3, most major economies experienced maturing trends in their business cycles due to high commodity prices, general inflation pressures, and tightening monetary and financial conditions. With the U.S. in a late-cycle expansion phase, and moderate recession risk on the horizon, interest rate risk management is an increasingly significant consideration for investors.
Topics will include:
Macroeconomics
Hedging considerations and strategies
Common Hedging Products
Join G&S’ Zev Gewurz and Daniel Valenti and Chatham Financial’s Chris Moore to learn how to manage interest rate risk through hedging strategies and execution.