Gain an enterprise-wide view of risk FIS Investment Risk Manager's highly flexible risk management solution utilizes innovative technology that allows asset managers, pension funds, hedge funds, private banks, wealth management groups and other buy-side firms to improve their risk culture and effectively monitor and manage their risk, particularly when exploring alternative, emerging or other higher-yielding investment opportunities. FIS Investment Risk Manager's fully integrated reporting solution, with interactive dashboards and customizable scenario-analysis models covers a wide range of asset types including equities, bonds, currencies, commodities and global indices, allowing firms to achieve a more holistic approach to risk management that can pave the way for enhanced risk-adjusted returns.
FIS Investment Risk Manager offers complementary risk management solutions for buy-side firms:
- Provides highly interactive risk analysis, pre-trade analytics, and for portfolio construction including optimization
- FIS Investment Risk Hub provides risk visualization across the firm and for automated reporting at high volumes, available as a managed service that includes data management
FIS Investment Risk Manager combines innovative technology with risk expertise:
- Enhances investment strategy
- Improves investment decision making
- Delivers fully-automated risk reporting
