Structured FX Risk Governance
Foreign exchange exposure can materially influence net asset value (NAV), internal rate of return (IRR) and distributable proceeds. We work alongside fund managers to design structured hedging frameworks that align with investment mandates, portfolio construction and lifecycle timing.
Our approach integrates:
Clear exposure identification and quantification
Defined hedge ratios and policy parameters
Execution protocols aligned to capital call and distribution schedules
Ongoing monitoring and performance reporting