Vendors
日本語

Market Risk Systems

VendorMatch Directory

Find market risk systems and solutions on our financial technology solutions research platform, use the directory for vendor discovery, and use our guide to compare and evaluate market risk software including reports and RFIs on functionality capabilities covering value at risk (VaR), other risk exposures, and valuations used by financial institutions such as hedge funds and trading firms.
  • Launch a complete White Label forex broker with services that include FX, CFD, commodity, and cryptocurrency trading solutions. The white label…
  • MX.3 for Enterprise Risk Management (ERM) is designed to help financial institutions optimize their risk infrastructures and reduce the cost of…
  • Finastra Kondor Treasurers are positioned to make better decisions, communicate efficiently, and lead confidently. Fusion Treasury makes the mos…
  • Finastra Summit solves the many challenges of today’s markets. It combines unique coverage of vanilla and complex derivatives with powerful work…
  • The Derivitec Risk Portal is a web application allowing users to upload portfolios and compute risk on them in any way that they choose.
  • Softek has extensive experience of providing services to Prime Brokerages. With regulatory change increasing the pressure on the bottom line, So…
  • Symetria helps Financial Institutions address both current and future regulatory reporting requirements, effectively deal with regulatory change…
  • JANUS Risk Manager is a multi-asset, multi-currency and multi-market real-time risk management, transaction monitoring and surveillance system,…
  • Axioma Risk is an enterprise-wide risk-management system that enables clients to obtain timely, consistent and comparable views of risk across t…
  • BRITech's platform blends efficiency, simplicity and flexibility into an online suite that fully supports the needs of both front and back offic…
  • Oneview Asset Management is a cross-asset real-time risk and portfolio management solution for asset managers designed to provide institutional…
  • Single Platform. Real-time. Fuelling business growth for the treasurer. Integrated Treasury and ALM Solution Treasury has a critical role to pla…
  • ERMAS™ (Enterprise Risk Management Solution) Suite unifies liquidity, credit, and interest rate risk measures into a methodologically consistent…
  • PortfolioOne, is a turnkey, cloud-hosted, SaaS based solution that employs advanced big data principles and an intuitive, modern UI to address t…
  • Tower: Leading financial software solution for Wealth Management. Efficiently manage a large number of complex customer portfolios with a large…
Search results
No results
Show results & filters

WHAT'S DRIVING MARKET RISK SOLUTIONS

Market risk refers to the risk of losses in the bank's trading book due to changes in equity prices, interest rates, credit spreads, foreign-exchange rates,commodity prices, and other indicators whose values are set in a public market. Financial institutions deploy a number of highly sophisticated mathematical and statistical techniques to calculate market risk. Chief among these is value-at-risk (VAR) analysis but most instutions are now in the process of integrating new stress-testing analytics including rRWAscounterparty

IMPLICATIONS FOR MARKET RISK SYSTEMS - MANAGING VS MEASURING MARKET RISK

The theoretical approaches to modeling become concrete in the IT systems that support market risk, and in the output of these systems. Any improvements in market risk modeling must be supported by corresponding changes in risk IT.

Key Features reviewed on diliger:

  • Market risk calculations
  • Parametric Value at Risk (VaR) calculations
  • Variance-Covariance (VaR) calculations
  • Conditional Value at Risk (CVaR)
  • Entropic value at risk (EVaR)
  • Equity Value at Risk (EVE)
  • Market risk analysis
  • Slice and Dice analytics
  • Historical Simulation
  • Derivative valuation analytics
  • Multi-factor stress testing
  • Potential Future Exposure (PFE)
  • Scenario analysis
  • Sensitivity analysis
  • Stress testing
  • Factor modelling
  • Pre-configured scenario analysis
  • Regression analysis to test hedge effectiveness supported ?
Create a vendor selection project
Click to express your interest in this report
Indication of coverage against your requirements
A subscription is required to activate this feature. Contact us for more info.
Celent have reviewed this profile and believe it to be accurate.
We are waiting for the vendor to publish their solution profile. Contact us or request the RFX.
Projects allow you to export Registered Vendor details and survey responses for analysis outside of Marsh CND. Please refer to the Marsh CND User Guide for detailed instructions.
Download Registered Vendor Survey responses as PDF
Contact vendor directly with specific questions (ie. pricing, capacity, etc)