An Introduction to Interest Rate Risk Management
Learn about managing interest rate risk in an uncertain market outlook. This 30-minute webinar will explore: 1. Key factors that influence a company’s approach to interest rate risk management. 2. Overview of interest rates and factors that influence the interest rate markets. 3. Common strategies for managing interest rate exposures. For more insight, visit: http://spr.ly/6005cFdp1

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Financial Risk Management in M&A

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Objectives of FX Hedging

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How does raising interest rates control inflation?

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HR insights: What does the ERA mean for casual workers?

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Making sense of sustainability in the bond market

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The Fundamentals of Carbon Trading

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Repurchase Agreement (Repo) & Money Markets

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Interest Rate Risk Management - ACCA Financial Management (FM)

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RICS Monitor: Sentiment Steady on the Surface, Fragile Underneath | Tarrant Parsons & Laura Valean

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How to determine the ‘right’ currency mix of debt

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An introduction to commodities risk management

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Andrew Ross Sorkin on What 1929 Teaches Us About 2025 | The New Yorker Radio Hour

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Confident Condo Lending Webinar | Newrez Wholesale

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What do tech pioneers think about the AI revolution? - The Engineers, BBC World Service

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Housing 'Repeat Of 2008': Trader Warns Banks Will Need Bailouts | Todd Horwitz

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An introduction to FX options

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Asset Liability Management & Interest Rate Risk in the Banking Book (Part 1 of 4)

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Interest rate risk management (1) Part 1 - ACCA (AFM) lectures

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New SCAM That's Draining Bank Accounts

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