MSCI Japan Strength Target Strategy
15 August 2025The Validus View
18 August 2025
Summary
As market cycles evolve and uncertainty becomes the norm, private capital firms are rethinking how they approach financial risk. In this on-demand webinar, Validus Risk Management partners with Private Equity Wire and other industry leaders to unpack the most urgent risk factors fund managers must address in today’s environment.
Key topics include the growing importance of interest rate risk across asset classes, the FX challenges created by diversified investor bases, and evolving approaches to liquidity management through fund structuring and financing strategies.
The session also explores the core building blocks of a scalable and effective risk management framework, offering private capital firms a clearer path to navigate uncertainty and position risk as a driver of long-term resilience
Key Takeaways
- Geopolitical uncertainty and macroeconomic shifts are driving a renewed focus on risk strategy across private markets
- Interest rate and FX exposures are becoming central considerations in cross-border investments and fund structuring
- Liquidity challenges are prompting firms to rethink capital deployment, financing, and fund design
- Risk management is moving beyond compliance, it’s being embedded across treasury and operational workflows
- Geopolitical uncertainty and macroeconomic shifts are driving a renewed focus on risk strategy across private markets
- Interest rate and FX exposures are becoming central considerations in cross-border investments and fund structuring
- Liquidity challenges are prompting firms to rethink capital deployment, financing, and fund design
- Risk management is moving beyond compliance, it’s being embedded across treasury and operational workflows
About Validus Speaker

Bryan Cohen
Head of North American Client Coverage