Currency risk hedging

In order to minimize possible customer losses and hedge exchange rate changes caused by a sharp change in currency quotes, Bank Credit Dnipro offers corporate clients services for forward transactions. This is the best way to plan financial flows and minimize currency risks.
The terms of the agreement allow the bank's customers to buy or sell foreign currency at a fixed rate on a certain day in the future.


How to order a service?

Contact the bank's financial instruments sales department:

Tel. (044) 593 90 48, (056) 787 02 74

to order a service



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