Solution introduction

Onboard the most advanced risk APIs

We translate cutting-edge quant models into industrialized tools for better decision-making. It’s what we do. And we’ve been doing it since 2001. Which means you can rely on us to help you consolidate market data efficiently and actively manage your market risk

We help financial institutions place risk management at the heart of their investment, manufacturing and distribution processes. From market data consolidation to portfolio optimisation, our plug & play APIs enhance pre-trade compliance, decision making and communication to end investors. Our web services are fast, scalable, and deployed on-premise or in the cloud. They follow the OpenAPI standards to facilitate the integration.

Portfolio monitoring

  • Raise alerts on risk thresholds
  • Run suitability gap analysis
  • Identify breaches on regulatory or business constraints
  • Identify diversification opportunities
  • Monitor warning signals and market trends

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