EPISODE · Mar 26, 2026 · 21 MIN
A Strategic Approach to FX Currency Hedging | Minds & Markets
from TDAM Talks · host Jafer Naqvi, Mathieu Cote
In the past, currency was often assumed to act as a natural portfolio offset. Today, long held assumptions are being challenged as correlations evolve and policy dynamics shift. Canadian investors with foreign equity exposure can be impacted by currency movements, even when underlying markets perform as expected. To frame currency risk more deliberately, investors evaluate hedging costs, volatility, correlation behaviour and market regimes. Understanding the application of strategic frameworks and dynamic hedging is essential. Together, these steps support more intentional management of currency risk across market cycles. Join Jafer Naqvi, Managing Director, Head of Client Portfolio Management, TD Asset Management Inc. (TDAM), and Mathieu Côté, Vice President, Institutional Client Portfolio Management, TDAM, as they explore how evolving market dynamics are reshaping approaches to currency risk management. Highlights include: 02:50 How Canadian investors create currency exposure through foreign equity allocations 07:05 Why historical currency-equity relationships may be less reliable 08:10 The four core factors shaping a currency hedging framework 12:00 How dynamic hedging can respond to changing market conditions 16:55 Applying a repeatable, strategic approach to currency risk For a full transcript in English and French, please visit the TD Asset Management Podcast page: https://www.td.com/ca/en/asset-management/insights/podcast Email any questions or ideas for future episodes to: [email protected] follow "TD Asset Management" on LinkedIn: https://ca.linkedin.com/showcase/tdassetmanagement/ Hosted by Simplecast, an AdsWizz company. See pcm.adswizz.com for information about our collection and use of personal data for advertising.
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A Strategic Approach to FX Currency Hedging | Minds & Markets
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