
FX is changing. Is your treasury strategy keeping up? Liquidity is fragmenting. Non-bank players are reshaping execution. Volatility is rising. And static hedge strategies are being challenged.
For CFOs, the question is no longer just “What rate can we get?”
It’s “Where, when and how should we hedge?”
Download our full article which explores the two-tier FX market and what it means for corporate treasury in 2026.