A UK investor holds a portfolio of overseas equities and is concerned about the exchange rate risk. Which strategy could
Posted: Tue Mar 08, 2022 1:04 pm
A UK investor holds a portfolio of overseas equities and is concerned about the exchange rate risk. Which strategy could he use to mitigate this risk?
A. Arbitrage
B. Gearing
C. Hedging
D. Pound cost averaging
A. Arbitrage
B. Gearing
C. Hedging
D. Pound cost averaging