Hedging against exchange rate risk
Freeze the exchange rate for my export trade transactions
Our Solutions
Foreign exchange trade insurance
Develop exports by submitting commercial offers in foreign currency without incurring exchange rate risk
Foreign exchange contract insurance
Fix an exchange rate no later than fifteen days after signing the commercial contract and until the last payment date
Exchange risk insurance for orders
Submit a catalog price offer to a buyer, distributor or local subsidiary, without incurring exchange rate risk
Foreign exchange trade Stop loss insurance
Protect yourself from a significant variation in the exchange rate over the trading period alone
Find all the related documentation
Acceptance of General Conditions Multi-order negotiation change
13/06/25 - 80,94 KB
General Conditions Multi-Order Trading Change
13/06/25 - 154,05 KB
Acceptance of General Conditions Change negotiation
13/06/25 - 81,08 KB
General Conditions of Exchange Trading
13/06/25 - 167,10 KB
Acceptance of the general conditions of Negotiation and Negotiation with interest
12/06/25 - 81,08 KB
General Conditions of Negotiation and Negotiation with Interest
12/06/25 - 167,10 KB
Acceptance of the General Conditions of the Insurance Change Contract
06/06/25 - 213,19 KB
General Conditions of Export Exchange Insurance
06/06/25 - 285,93 KB
Request Insurance Exchange Negotiation
13/06/25 - 139,82 KB
Declaration Form Conclusion - Entry into force of Export Exchange Insurance
12/06/25 - 75,48 KB
Insurance Request Change Negotiation
12/06/25 - 139,82 KB
Declaration of Conclusion Form - Entry into Force of Export Foreign Exchange Insurance
06/06/25 - 179,81 KB
Currency Exchange Negotiation Insurance Application Form
06/06/25 - 374,31 KB
Request for course simulation and exchange bonus
06/06/25 - 185,71 KB
Insurance Exchange User Guide
12/06/25 - 2,07 MB
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