Risk Analytics

Software and tools for calculating, measuring and analyzing prices and risks.

Company: AxiomSL
AxiomSL’s dynamic data-lineage technology can be compared to a GPS that tracks the “data route” from the source to the final destination while collecting critical information and analytics that streamline and optimize the FI’s processes along the way. AxiomSL’s data-lineage GPS captures and documents data flows, data transformations, critical data elements and ...
Company: Murex
MX.3 for Enterprise Risk Management (ERM) is designed to help financial institutions optimize their risk infrastructures and reduce the cost of compliance. The cross-asset, cross-function platform provides a new model for risk and collateral management, enabling institutions to control and monitor risk at every step of the value chain. It can be used as an integrated trading and risk solution, or ...
Company: ACI Worldwide
UP Real-Time Payments Solution – Global  ACI Worldwide is helping define and drive immediate payments schemes around the world. Up Immediate Payments makes up a part of the U.K Faster Payments infrastructure and supports over half of the U.K. direct members. In addition, the solution is used by an unmatched customer base of institutions and PSPs to access Singapore FAST and the ...
Since 1993, Imagine Software has been a leading provider of investment management solutions for the global financial industry. Its award-winning enterprise product, the Imagine Trading System—and its on-demand cloud-based ASP version, Derivatives.com—is a real-time integrated trading, portfolio, and risk management solution employed by thousands of buy-side and ...
IFP provides a cloud-based environment for the financial community to use and create applications—Imagine Apps—that leverage, customize, and extend the Imagine Trading System in a limitless manner. Built in IFP or acquired through the Imagine Marketplace, Imagine Apps can be: ·         As simple as a personalized view for an ...
The Imagine Risk Aggregator helps all those investing across multiple funds and asset classes around the globe achieve greater transparency into investments, access more meaningful risk analyses, and foster increased investor confidence in risk exposure data. By independently sourcing information from third parties, verifying, and normalizing the position level data that is typically not ...
An innovative post-trade monitoring and reporting tool designed for asset managers, funds, banks, non-bank financial institutions and multinational corporations Improving post-trade efficiency in ...