
“The most attractive hedge”
Goldman Sachs The Markets
00:00
Forecasting Dollar Devaluation in the FX Market
This chapter examines the effects of a 10% devaluation of the dollar on the foreign exchange market and the behaviors of FX hedgers. It highlights the slow decision-making process in corporate and investment strategies, alongside the challenges of predicting future movements based on U.S. policy and economic data.
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