The first half of 2025 has brought sharp currency moves and heightened volatility across the APAC region. As we enter H2, fund managers must reassess FX exposures and adjust risk strategies to remain resilient in unpredictable markets.
On-demand webinar available now
This on-demand webinar brings together macro and FX specialists to review the year so far and explore practical tools to manage ongoing volatility.
What to expect
- Highlights and surprises from H1 2025
- Emerging macroeconomic and FX risks in H2
- Long-term strategies for managing FX exposure
Expert panel
- Dr. Nick Rees, Head of Macro Research, Monex Europ
- David Venn, APAC Head of Sales, MonFX
- Jacob Fisher, Head of Sales (Asia) and Global Head of FX Solutions, Apex Group
Watch now
Gain practical insights to support better risk positioning, reduce currency exposure, and prepare for market shifts in the second half of the year.
Access the full webinar by completing a short form.