We are financial advisors, specialized in tailored risk management solutions
At InHedge, our main focus is to help our clients identify their risk exposure and develop a hedging strategy that helps mitigate that risk, contributing to their financial stability.
We work hand in hand with some of the largest financial institutions in the world, which allows us to offer our clients access to several hedging instruments on a wide range of underlyings.
With the purpose of delivering personalized solutions for each client, we work in different stages during the risk management process, from businesses that are looking to identify and minimize their exposure, to companies who operate regularly and are looking for better conditions, or an evaluation of their current strategy.
We help companies that commercialize commodities, either as a primary activity, or as an input for other activities, and look to administer their risk exposure to an adverse movement on said commodity’s price, at the moment of buying or selling.
We strengthen our service with personalized structures and strategies for different types of activities, volumes and operational periods.
We help companies who have an exposure to an unfavorable movement in the price of any currency.
We seek that our clients develop an effective buying or selling strategy, which eliminates the possibility of a movement in price having a significative impact on their profit margins.
We can develop strategies involving both major and exotic currencies
Major: USD I CAD I EUR I GBP I CHF I JPY I More
Exotic: MXN I HKD I COP I CLP I BRL I CNY I More
Our clients have access to a wide variety of strategies for execution, either to speculate or hedge their exposure
-Buying a call
-Buying a put
-Buying / selling a Strangle
-Options with daily/weekly expiration
-Selling a call
-Selling a put
-Buying / selling a Straddle