Fundamental and technical drivers of FX movements - Risks and opportunities

Wednesday 09 March 2022 | 17:00 - 18:00 | Webinar

This session is brought to you by the CFA UK’s Foreign Exchange special interest group

Will the dollar keep rising as the Fed raises rates or is dollar strength already played out? Can Sterling recover its mojo as Brexit settles down? 

Join John Calverley, Chief Economist at Tricio Investment Advisors, and Gerry Celaya, Chief Strategist at Tricio Investment Advisors who will ask the question, what drives currencies? They will assess both fundamental and technical factors and will also suggest techniques and strategies for managing the risk.

 Where recordings are made, these are a member benefit that are accessed through the member-only platform, CFA UK Discover.


Registration: 16:55

Event: 17:00 - 18:00

CPD Points: 1.00


John Calverley, Chief Economist, Tricio Investment Advisors

John Calverley is Chief Economist at Tricio Investment Advisors, a consulting firm providing investment research and advice to professional investors including IFAs, family offices and fund managers.

He has over 40 years’ experience in international economic research, investment advice and risk analysis. He was Chief Economist and Strategist for American Express Bank and Head of Macroeconomic Research for Standard Chartered. He has sat on asset allocation committees in London, New York and Geneva and advised wealth managers and private clients around the world.  

John contributed to the CFA training program materials on capital market expectations and has run numerous investment training programmes for clients. He is a fellow and former chairman of the UK Society of Professional Economists.

His books include Investors Guide to Economic Fundamentals, (2002) and Bubbles and how to survive them, (2004) which warned of the risks of a US housing crash.

Gerry Celaya, Chief Strategist, Tricio Investment Advisors

Gerry Celaya is Chief Strategist at Tricio Investment Advisors. He has over 30 years’ experience in financial market analysis, applied econometrics, behavioural finance, technical analysis and investment and risk analysis.

Gerry was the FX strategist at American Express Bank and was head of Technical Analysis research at Bank of America in London, where his team ran an FX trading book.  

He has worked with central banks, corporate hedgers, high net worth individuals, family offices, hedge funds and traditional asset managers and advisors. Gerry has led workshops and provided training in technical analysis, FX markets and derivatives around the world. He is also a director of the Society of Technical Analysts in London.

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