BLOGS. September 7, 2023
Strategically Balancing Risk in Collateralized FX Margin Trading
Banks and wealth management firms require stringent risk control to elevate profitability in today’s volatile markets. When it comes to collateralized FX margin trading, a balance exists between risk and reward. This implies that risk management is of the utmost importance during these transactions. Many institutions may be missing out on potential business avenues when they lack the proper tools to assess risk and identify opportunities.
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