FOREIGN EXCHANGE MARKET RISK STRATEGIES

Foreign exchange returns are a unique asset class, as they mainly result from the specific denomination of other asset classes (e.g., European stocks denominated in EUR owned by a US investor).

They affect the return on a globally diversified portfolio, which is why active management strategies could be beneficial.

FOREIGN EXCHANGE RISK STRATEGIES AS OF 06/12/2020*

* with a delay of 4 weeks – get the most recent data through our weekly report

We combine savvy trading models with intuitive foreign exchange market risk ratings to smart fx risk strategies.

We developed foreign exchange risk-based strategies to potentially reducing overall currency risk and boosting returns from a global portfolio.

The table below provides you a look at the recent fx risk strategy signal for a global US Dollar basket, which represents the value of the United States Dollar in relation to a basket of major foreign currencies such as EUR, JPY, CHF, and JPY.

FX BASKET

US DOLLAR BASKET INVESTMENT LEVEL
0%

US DOLLAR

stay outsince 06/05/2020(unchanged)

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FX RISK STRATEGY SIGNALS AT A GLANCE

Foreign investment is exposed to potential adverse currency rate fluctuations and volatility.

Opening an investment position in a foreign market means making two investment decisions: betting on both the performance of the foreign investment itself and the respective currency.

We designed smart foreign exchange risk strategies to provide intuitive and unique fx market insights.

CommodityForeign exchange risk definition from Wikipedia, the free encyclopedia.
What is foreign exchange risk? by Investopedia

Find more details on our risk-based investment strategie at our how it works overview.

Our proprietary US Dollar basket is tracking a basket of 14 main US Dollar cross rates, such as USD/EUR.

By subscribing to our weekly reports, you will remain up-to-date with current market conditions by receiving strategies signals for our US Dollar basket. Subscribe to our RISXX market risk report and get 44 risk strategies and 36 risk ratings for US and international stocks and bonds, gold, and foreign exchange cross rates along with performance reports every Sunday.

DISCLAIMER

GENERAL & LIABILITY

RISXX Inc. provides this website and its information for guidance and information purposes only. Therefore this website is not an offer to purchase or sell or a solicitation of an offer to buy or sell any security or instrument. In addition, it is also not an offer to participate in any trading strategy. We compiled the information contained herein from sources deemed reliable. Consequently, it is accurate to the best of our knowledge and belief. However, RISXX Inc. cannot assure as to its accuracy, completeness, and validity.
Furthermore, RISXX Inc. cannot be held liable for any errors or omissions. All information contained herein should be independently verified and confirmed. Above all, we do not accept any liability for any loss or damage howsoever caused in reliance upon such information. Reader agrees to indemnify and hold harmless RISXX Inc. from and against any damages, costs, and expenses. This includes any fees, potentially resulting from the application of any of the information provided by RISXX Inc.

PERFORMANCE

The analysis, ratings, and recommendations made by made RISXX Inc. do not provide, imply, or otherwise constitute an assurance of performance. In other words past actual or simulated performance is no guarantee of future results. User shall not assume that future results will be positive or will equal past performance, real, indicated or implied. RISXX Inc. offers no assurance regarding the accuracy, market predictive powers, suitability or effectiveness (either expressed or implied) of any of the information provided.

RISKS

Any market exposure always entails the possibility of substantial loss of equity. The user of the website agrees to assume all risks resulting from the application of any of the information provided by us. Additionally, to usual risks embedded with investing, international trading may involve the risk of capital loss. For instance, this risk could be caused by fluctuations in currency values, from differences in accounting principles, or economic or political instability in foreign countries.

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