Resources

Tag: Market Intelligence

Finance leader assessing foreign exchange exposure and decision criteria during uncertain currency markets
FX decision paralysis can appear prudent, but repeated delay can reduce planning certainty, narrow operational choices and leave businesses reacting to currency exposure. This article explains why better foreign exchange decisions depend on internal visibility and clear decision criteria—not market certainty.
Abstract reflection illustrating treasury risk management under uncertainty and changing market perceptions.
Markets can reprice risk surprisingly quickly. This article explores what recent geopolitical developments teach treasury teams about uncertainty, forecasting and effective treasury decision-making.
FX risk from geopolitical disruption affecting oil prices and currency markets
The US–Israel conflict with Iran is disrupting global oil flows, currency markets, and supply chains. As these conditions persist, FX risk is becoming a real and measurable business issue.