Derivatives and Risk Solutions
Derivatives and Risk Solutions
It offers different tools to manage, control or minimize financial risks.
Coverage (Hedging).
Risk management.
Currency exchange rate risks due to imports, exports, royalty payments, dividends, foreign credit payments, among others.
USD/MXN, EUR/USD, EUR/MXN, CAD/USD, USD/JPY, USD/CNY and more.
Credit or investment hedging due to variability of local or foreign rates.
IPC (he Mexican Stock Exchange’s Price and Quotation Index)
Contracts that establish, in the present, the obligation to buy or sell in the future, a certain amount of an underlying asset at a determined fixed price. Entering into a forward contract does not imply an initial cost. Depending on your credit profile and financial information, a deposit margin is requested as guarantee with the purpose of minimizing the risk of non-compliance.
Contracts that today grant the right (but not the obligation) to buy (Calls) or sell (Puts) in the future, a certain amount of an underlying asset, which can be determined by the client. A premium is paid for the right to this hedge.
Amongst others.
Exchange of interest rates (variable-fixed or fixed-variable) in the same currency to hedge credits or investments. Entering into a Swap contract does not imply any initial cost.
Exchange of a payment flow in a determined currency for another flow of payment in a different currency, to hedge long-term credits or flows; there can be a simultaneous exchange of rates. Entering into a CCY Swap does not imply any initial cost.
Cap
Strategy that allows setting a roof over the interest rate, limiting the maximum cost of its debt and benefiting from a lowering-rate scenario. A premium is paid for the right of this coverage.
Floors
Strategy that allows establishing a floor under the interest rate, securing the minimum interest to receive by an investment, benefiting from a hike in the interest rates. A premium is paid for the right to this hedge.
Amongst others.
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