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Learn > Events > Hedge & Manage Risks in Volatile Equity Markets

Hedge & Manage Risks in Volatile Equity Markets


Source: BURSA | Published: September 2021

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In light of the recent economic uncertainty and fluctuating commodity prices, Bursa Malaysia has designed webinars to guide you on the use of Futures & Options contracts for hedging and risk management to better manage your operations and bottom-line performance. The webinars explains how you can use Bursa Malaysia Derivatives FTSE Bursa Malaysia KLCI Futures (FKLI) and Mini FTSE Bursa Malaysia Mid 70 Index Futures (FM70) as risk management and hedging tools.

Details of the webinars are as follows:

Title Hedge & Manage Risks in Volatile Equity Markets
Duration 2 Hours (10am – 12pm)
Cost Free
Webinar dates for you to choose from 1. 5th October 2021
2. 9th November 2021
Speaker David Lo
Registration Kindly register for the webinar using the following LINK

Participants who attend this interactive webinar with trading simulation will learn:

  • The mechanics FTSE Bursa Malaysia KLCI Futures (FKLI) and Mini FTSE Bursa Malaysia Mid 70 Index Futures (FM70) contracts
  • The usage of equity index futures for portfolio management
  • The various hedge strategies in different market conditions
  • The rationale of hedging and its impact on portfolio returns
  • The opening and closing futures positions in a derivatives trading platform

For effective learning during the trading simulation exercise, participants are required to download the Derivatives Trading Simulator (DTS) and subscribe to a free account before the webinar session. More information about the DTS and step-by-step guidelines (FAQs) are available HERE.

Should you require further information, please feel free to email the following:

1. A A Deepa: aadeepa@bursamalaysia.com

2. Ahmad Ridwan: ridwan@bursamalaysia.com

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