Solution introduction

Accurate, transparent risk management

Powerful, sophisticated and flexible risk management tools that are up to date with the latest market innovations

The implementation of new regulations including MiFID II, Solvency ll and  IFRS13 changes the way almost all products are priced, traded and reported. This complex financial environment requires more comprehensive, more accurate and more transparent risk management. There is growing demand for solutions that provide a holistic picture of risk across multiple-asset classes. Quantifi provides a consistent view of risk, along with best-of-breed models incorporating industry best-practice that generate results that match the market for even the most complex product. 

Subscribe to our newsletters

The Wealth Mosaic publishes a range of newsletters each month to help both wealth managers and solution providers stay on top of the latest developments in the global wealth management sector. Click below to sign up to those that are of interest.