Welcome to MFX Solutions

MFX Solutions is the microfinance industry’s first and only dedicated currency hedging facility.

Learn More

AMD: 12 month T-bill 6 month T-bill / 15 yrs fixed     ARS: 30 day 90 day 180 day 365 day BAIBOR / 15 yrs fixed     AZN: 3 month and 6 month T-bill rates / 4.5 yrs fixed     BAM: EUR swap curve with risk premium / 15 yrs fixed     BDT: 91 day 182 day 364 day T-bills / 15 yrs fixed     BOB: 91 day 182 day Letras del Tesoro en Moneda Nacional / 15 yrs fixed     BRL: CDI, 30-day 90-day 180-day 360-day Pre-ID / 15 yrs fixed     BWP: 91-day Bank of Botswana Certificate (BoBC) / 15 yrs fixed     BYR: Floating not available. Only fixed based on model-based pricing / #N/A     CLP: 1-day TCPI Tasa de Interés Promedio Interbancaria a 1 dia (TIPI) / 15 yrs fixed     CNY: 1-month, 3-month, 6-month and 1-year SHIBOR / 15 yrs fixed     COP: 90-day, 180-day and 360-day DTF / 15 yrs fixed     CRC: Tasa Basica (6 month) / 7.5 yrs fixed     DOP: Tasa de interes pasiva promedio ponderada de los Bancos Multiples (TPPP) / 5 yrs fixed     EGP: 3-month 6-month 1-year T-bills / 15 yrs fixed     GEL: 182-day and 364-day T-bill rates / 3 yrs fixed     GHS: 91-day 182-day and 1-year T-bill / 4.5 yrs fixed     GTQ: Floating not available. Only fixed based on model-based pricing / #N/A     HNL: 91-day and 182-day T-bills rates / only floating     HRK: 1-month, 3-month, 6-month, 1year ZIBOR / 15 yrs fixed     IDR: 1-month, 3-month, 6-month, 12-month JIBOR OR 1-month, 3-month SBI rate / 15 yrs fixed     INR: 1-mo 3-mo MIBOR / 15 yrs fixed     JMD: 30-day Money Market Rate / 15 yrs fixed     JOD: 1-mo, 3-mo, 6-mo, 1yr JODIBOR / 4.5 yrs fixed     KES: 91-day 182-day T-bills / 15 yrs fixed     KGS: 3-month and 6-month and 1-year T-bills / 3 yrs fixed     KHR: Floating not available. Only fixed based on model-based pricing / #N/A     KZT: 3-month KazPrime / 15 yrs fixed     LKR: 1-month, 3-month, 6-month, 1year SLIBOR / 15 yrs fixed     MAD: No benchmark available. Only fixed / 15 yrs fixed     MDL: Average of 1-month, 3-month, 6-month, 12-month CHIBID and CHIBOR / 1.5 yrs fixed     MGA: 4-week, 12-week, 24-week, 52-week T-bills / only floating     MKD: 3-month and 6-month T-bills / only floating     MNT: Average of the 1-month, 3-month, 6-month, and 1-year of UBIBID and UBIBOR / 1.5 yrs fixed     MRO: 4-week and 13-week T-bills / only floating     MXN: 28-day 91-day TIIE / 15 yrs fixed     MYR: 1-month, 3-month, 6-month, and 12-month KLIBOR / 15 yrs fixed     MZN: 91-day, 182-day, 364-day T-bills / only floating     NGN: 91-day, 182-day, 364-day T-bills / 13 yrs fixed     NIO: 1-month, 3-month, 6-month, 1year rates of Tasas Pasivas Cordobas 3-month, 6-month, and 1-year average monthly rates in NIO / only floating     NPR: Floating rate not available (only fixed rate). Pricing is based on INR curve plus risk premium / 15 yrs fixed     PEN: 1-month, 3-month, 6-month, 1year LIMABOR in PEN / 15 yrs fixed     PHP: 1-month 3-month 6-month PHIBOR / 15 yrs fixed     PKR: 3-month, 6-month, and 12-month KIBOR / 15 yrs fixed     PYG: PYG 180 to 365 days, monthly average rate / #N/A     RSD: 1-month, 3-month, 6-month BELIBOR / only floating     RWF: 13 week T-bill rates. Fixed up to 4Y based on modelling / 4 yrs fixed     THB: 1-month 3-month 6-month 1-year BIBOR / 15 yrs fixed     TND: Taux Moyen Mensuel du Marché Monétaire (TMM) / 15 yrs fixed     TRY: 1-month 3-month 6-month 1-year TRLIBOR / 15 yrs fixed     TZS: 91-day, 182-day and 364-day T-bills / 15 yrs fixed     UAH: Kievprime is under review as potential benchmark. TCX can only quote fixed in UAH for the time being. / #N/A     UGX: 91-day 182-day 364-day T-bills / 15 yrs fixed     UYU: 30-day, 90-day, 180-day, and 360-day ITLUP / 4.5 yrs fixed     VND: 1-month 3-month 6-month VNIBOR / 15 yrs fixed     XAF: Floating rate not available (only fixed rate). Pricing is done based on EUR curve plus risk premium / 15 yrs fixed     XOF: Floating rate not available (only fixed rate) / 15 yrs fixed     YER: 3-month, 6-month and 1-year weighted average T-bill rates / only floating     ZAR: 1-month 3-month 6-month 12-month JIBAR / 15 yrs fixed     ZMK: 91-day, 182-day and 364-day T-bills / 15 yrs fixed     

We have the right tools for you!

MFX’s decision support tools help practitioners model financial risk and dig deeper into best practices for mitigating them. See the cash flows in a hedge transaction, stress test your institution’s balance sheet against market fluctuations, or read detailed descriptions of different hedging products. It’s all free.

Recent News

MFX is in the news!
Read all about it!

Read all news

Sign up for our newsletter

Stay up to date with the most current risk solutions news. Our newsletter will keep you informed.

 


Follow us on

MFX Partners