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FX & Money Markets
US market volatility struck Friday impacting FX Forwards pricing
By John Crisp
8 Aug 2025
The Israel-Iran conflict materially increased geopolitical uncertainty across the region – with direct implications for valuations and currency risk management.
“Last week we saw heightened volatility in regional FX pairs such as USD/ILS, driven by shifting investor sentiment and rising hedging costs. The pseudo-benchmark 1 month at-the-money volatility immediately spiked by over 1.5% on the news of the first airstrikes. While that contract’s volatility retrenched to lower levels by the end of the week, the 12% vol level by midday June 18th was still 1.85% higher than at the start of the prior week, on June 9th.” John Crisp, Head of FX Data Product & Strategy.
While USD/ILS saw a marked increase in short term volatilities, EUR/USD and other major currencies did not see such significant changes, either in at-the-money volatilities or risk reversal strategies (a measure of asymmetry in potential FX movements in the future).
Update on 25th June as of 9am UTC time 24th June:
Episodes of volatility like this underscore the need to integrate geopolitical risk into real-time monitoring and scenario planning frameworks.
At TraditionData, our FX data solutions are built to capture precisely these kinds of fast-evolving market conditions. Our leading FX Option global interdealer broking network captures tradable price levels and near-tradable interests across both major and emerging market currencies. The broking workflow ensures our data is high quality. Whether clients are assessing risk sentiment, refining hedging strategies, or responding to sudden market shifts like the recent ILS movement, our data supports confident, timely decision-making.
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