Navigating Current Market Volatility: Expert Insights with Erik Norland (CME Group)

Erik Norland & Stefano Gianti

Erik Norland & Stefano Gianti

計畫

Join Erik Norland, Managing Director and Chief Economist of CME Group, for an exclusive webinar on the dynamic world of futures and options. With over 25 years of experience in the financial services industry, Erik will share his expertise in identifying emerging trends, evaluating economic factors, and forecasting their impact on global financial markets. Don't miss this opportunity to gain valuable insights from one of the industry's leading voices on economic, financial, and geopolitical conditions.



Key Highlights:

- Global Market Trends: Explore current and emerging trends that can impact your trading and investment decisions.

- Economic Analysis and Forecasting: Gain expert forecasts on global financial markets

- Q&A Session: Have your questions answered by one of CME Group’s foremost spokespeople on global economic conditions.



Whether you're an experienced trader or new to the world of futures and options, this webinar is designed to equip you with the knowledge and strategies to succeed in today's complex financial landscape.



About the speakers:

Erik Norland is the Managing Director and Chief Economist of CME Group, with a robust background spanning investment banks and hedge funds across the United States and France. He holds a bachelor's degree in economics and political science from St. Mary's College of Maryland and a master's in statistics from Columbia University. He is also a CFA Charterholder.



Stefano Gianti is Education Manager at Swissquote. He provides training in risk management and profit maximisation using derivatives and is a regularly quoted on financial networks such as CNBC and SKY.


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在外匯交易平台上交易槓桿產品,例如外匯,現貨金屬和差價合約,都會因槓桿效應而面臨重大的虧損風險,因而並不適合所有投資者。在開立瑞訊之交易帳戶前,請考慮個人經驗水平、投資目標、資產、收入和可承擔之風險水平。理論上,虧損是可以無上限,如果帳戶餘額低於所需保證金水平,您有可能被追加資金,因此您不應該以自己無法承受虧損的資金進行交易,即您不應借入資金或以個人或家庭生活所急需或必要的資金進行投機、投資或對沖。過去12 個月,74.54%的零售投資者在交易差價合約時出現虧損、在平倉時損失全部保證金或平倉後帳戶出現負值。您必須清楚了解外匯交易中所有相關風險,如果有任何疑問時,應及時向獨立財務顧問尋求建議。如需更多資料,包括槓桿的影響、保證金交易的操作以及交易對手和市場風險,請參閱我們的外匯和差價合約風險披揭露。本網頁之內容包含市場推廣訊息,內容並沒有提交亦沒有得到相關監管機構之批核。

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