Product Seminar FX.
The Situation
Concerning the Business Models of your clients, increasing globalisation is leading to increased Foreign Currency Risk, for example in Import/Export Trading, or Translation Risk. The complexity of the problems demand heightened application of customer-optimised and structured solution.
The Solution
Based on the Basis Seminar in Currency Management, both Seminars will focus on the realm of Hedging and Optimising Foreign Exchange Strategies for different aims and market expectations with increasing complexity.
The Themes
Module I
- Strategies from Plain Vanilla Options
- Forward Transactions with Potential
- Bonus Forward Transactions with Potential
- Forward Transactions with Participation
- Bonus Forward Transactions with Participation
- Shout Forward Transactions
- Range Forward Transactions
- Strategies without Hedged Calculation Rate
Module II
- Strategies with Fader Options
- Strategies with Timer Options
- Compund Rights to Options and Structures
- Average Rate Strategies
- Best of Two Optionen
-
Seld-invented Currency Options
Seminar Duration
2 Days for each Module
Date
TBD
Location
Lucht Probst Associates GmbH
Große Gallusstr. 9
60311 Frankfurt
Germany
Costs
€ 1,495.- (non-clients of LPA)
€ 795.- (clients of LPA)
Registration
online or registration@l-p-a.com