2010 Programme
8:15 Registration and breakfast
8:50 Welcome address: Saima Farooqi, Editor, FX WEEK
9:00 Keynote address:
Michael Cross, Head of Foreign Exchange, BANK OF ENGLAND and
Chair, FOREIGN EXCHANGE JOINT STANDING COMMITTEE
9:30 Panel discussion: Evaluating the current FX landscape and lessons learnt over the past year
- How has the market structure evolved?
- The impact of regulations
- What has improved this year and what should be continued
- Identifying the most successful strategies
Moderator: David Poole, Chief Operating Officer and
Principal, CLIENTKNOWLEDGE
Stephane Malrait, Managing Director, Global Head of E-business,
Fixed Income and Currencies Division, SOCIETE GENERALE
Steve Toland, Head of FX Sales, Europe, Middle East and Africa
and Americas, ICAP ECTRONIC BROKING
Yaacov Heidingsfeld, Chief Executive Officer, TRADERTOOLS
Will Patrick, Associate Director, FX Products, EMEA, CME GROUP
Udi Sela, Foreign Exchange and Cross Asset Suite Product
Manager, SUPERDERIVATIVES
10:20 Morning break
Stream one (Risk management)
10:50 Chairperson’s opening remarks
Russel Levi, EVP, Global Head of Sales and Support, SUPERDERIVATIVES
11:00 Presentation: Managing currency risk in international asset portfolios
- Impact of hedge ratios on different asset classes, and optimal hedge benchmarks
- Rebalancing frequency of hedges
- Trigger-based rebalancing and tracking error
- Options vs forwards as hedges
Jessica James, Global Head of Risk Advisory, CITI
11:30 Presentation: Taking a look under the hood of foreign exchange price movements to improve your trading results
- How to locate support and resistance levels using 24-hour trading in derivatives and FX
- How central banks are affecting price action and volatility
- Deciphering and leveraging the strategies of algorithmic trading programs
- Using creative indicators to reduce risk exposure and create stop points for your profits and losses
Daniel S. Shaffer, President & CEO, SHAFFER ASSET MANAGEMENT
Stream two (e-FX developements)
10:50 Chairperson’s opening remarks
Chairperson to be confirmed
11:00 Presentation details coming soon
Simon Wilson-Taylor, Managing Director and Global Head of eCommerce, UBS
11:30 Presentation: FX hedging and active asset allocation
- Static FX hedging strategies for different assets and base currencies
- Cyclical characteristics of FX risk and active hedging strategies
- Example: Scandie FX hedging strategies for a euro-based investor
Thomas Thygesen, Head of X-Asset, SEB
12:00 Algo panel: Innovative trading and technological developments in FX algo trading
- Is there an arms race in algo trading and is it hurting the investors?
- Transaction cost analysis and its importance for measuring best execution. How to derive TCA in FX?
- Algorithms designed to search for dark pools and SORS to provide the best price
Moderator: Justyn Trenner, Chief Executive Officer and
Principal, CLIENTKNOWLEDGE
James Dalton, Director FX Algorithmic Execution, CITI
Martin Sewell, Senior Research Associate, UNIVERSITY OF
CAMBRIDGE
Gary Stone, Chief Strategy Officer, BLOOMBERG TRADEOOK
Jonathan Wykes, Director, European Head of Advanced Execution
Services (AES™) Sales for FX, CREDIT SUISSE
13:00 Lunch
14:00 FXPB panel: New role for FX prime brokerage
- How will central clearing affect prime brokerage, trading costs and systemic risks
- What role will prime brokers have in the reduction of operational, settlement and liquidity risks
- Are prime brokers meeting the current demands of clients i.e. cross-asset margining
Gil Mandelzis, Co-Founder, Chief Executive Officer, TRAIANA
Marco Baggioli, Head of FX Prime Brokerage Europe, BNP PARIBAS
Francis Madden, E-Solutions Group, CIBC WORLD MARKETS
Further speakers to be confirmed
Stream one
14:50 Presentation: Emerging markets – focus on the Russian Ruble
- Identifying the trends of the Russian Ruble in the domestic, cross-border and international markets
- Opportunities and challenges in the OTC market
- Developments in electronic trading
- Outlook for the region
Danny Corrigan, Director, Financial Markets, Moscow, ING
EURASIA
Darryl Hooker, Global Emerging Markets Manager, EBS
Stream two
14:50 Presentation: How HFT is changing the core of the FX industry
- HFT worries about 'last look' pricing from the banks (i.e. the ability to reject deals)
- Do HFTs distort the market or support the generation of liquidity
- Have bank dealers really made their peace with HFTs?
- What can buy-side investors do to take advantage of the new technologies?
- How to deploy an effective HFT strategy
Elena Ambrosiadou, Founder, Group Chairman and CEO, IKOS
15:20 Afternoon break
15:40 Buy-side panel: Potential currency moves and new opportunities
- Markets have again been volatile - what has happened to performance as a result?
- How have recent events impacted currency managers’ use of risk technology
- Will the heightened level of risk of currency translate into more business for currency overlay or currency fund managers?
- Currency management - EM versus G10 where should managers focus their attention?
- Currency Alpha: what market regime going ahead and what techniques?
- Currency Investment styles - What should investors look for?
Moderator: Paul Chappell, Chief Investment Officer, C-VIEW
Pierre Lequeux, Head of Currency Management, AVIVA INVESTORS
Thanos Papasavvas, Head of Currency Management, INVESTEC ASSET
MANAGEMENT
Paul Lambert, Head of Macro Strategies, POLAR CAPITAL LLP
Michael Sneyd, FX Economist, BARCLAYS WEALTH
16:30 Panel discussion: Going on to next year – what can we expect in 2011
- Impact of local regulations on the global FX market
- The future of foreign exchange trading
- How new technologies will impact the FX industry
Jan Randolph, Director of Sovereign Risk, Country Analysis
and Forecast, IHS GLOBAL INSIGHT
Mike Thrower, Director, Banking Business Development, WALL
STREET SYSTEMS
Ray Farris, Director, Global Head of Foreign Exchange Strategy,
CREDIT SUISSE
Jan Randolph, Director of Sovereign Risk, Country Analysis and
Forecast, IHS GLOBAL INSIGHT
Senior representative, HOTSPOTFX
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