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Numerix CrossAsset

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Overview

Numerix CrossAsset offers the industry’s most comprehensive collection of models and methods, allowing institutions to price any conceivable instrument using the most advanced calculations, in addition to a wide range of calibration options for generating market-consistent valuations. With an infinitely flexible architecture for defining bespoke deals—and the ability to integrate your own internal models—Numerix allows you to deploy a unified pricing and risk solution for all your derivative and fixed income positions across all trade types.

Users gain the ability to rapidly describe any new deal type using hundreds of customizable trade templates, an intuitive payoff scripting language and the industry's most comprehensive library of cross-asset models and methods.

As part of the Numerix CrossAsset Suite, CrossAsset is available as either a comprehensive cross-asset solution or select modules targeted to individual asset classes:

•Fixed Income•Credit•Equity•Commodities•FX•Inflation•Life•

The Industry's only independent solution for hybrids

Key Features

Rapidly Structure and Price Any Derivative

Gain time-to-market advantages with 250+ pre-defined deal templates, including 'out-of-the-box' deal types and trade blotters that can be easily modified. Rapidly structure and price any derivative, across all asset classes (fixed income, equities, FX, credit, commodities, inflation, life and the industry's only independent solution for hybrids).

Pre-trade Analysis

Enables pre-trade price discovery and the ability to stress-test and monitor trading strategies in Excel.

Customizable Front-End for Trading

Traders can easily design and set-up a customized front-end for trading, with tailored workbooks/blotters and the ability to view a portfolio of trades.

Scenario Analysis

Supports pre- and post-trade scenario analysis, pricing grids and convergence using Excel to test trading strategies and shock portfolios.

Leverage Comprehensive Model Library

Access the most comprehensive cross-asset, industry-standard library of models and methods, spanning all asset classes (fixed income, equities, FX, credit, commodities, inflation, life and hybrids).

Extensive Risk Management/Reports

Provides an extensive range of risk management and reporting capabilities, including Greeks, VaR, P&L, model validation and customized risk reports.

Key Benefits

  • Gain Speed-to-Market Opportunities
    Leverage time-to-market advantages with over 250 pre-defined templates, and the ability to rapidly structure and price any new instrument across asset classes. Users can dramatically reduce time-to-market for new products.

  • Experience Competitive Advantages, with the Ability to Price Any Deal Type
    Structure and price even the most bespoke deal types, utilizing the industry’s deepest independent, industry-standard model library—Numerix CrossAsset. Spreadsheet flexibility for any payoff or model, provides complete coverage for custom products.

  • Make Better Trading Decisions
    Pre-trade price discovery and the ability to stress-test and monitor trading strategies in Excel helps users develop more informed trading strategies and better trading decisions.

  • Create Personalized Trading Environment to Enhance Trading Efficiencies
    The flexibility of Numerix CrossAsset Excel enables traders to design and customize their front-end for trading with the tailored workbooks and blotters that work best for them.

  • Meet Risk Management and Reporting Requirements
    An extensive range of risk management and reporting capabilities, including Greeks, VaR, P&L, model validation and customized risk reports, enables users to meet internal and external reporting and regulatory requirements.

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