The STAR ESG models can be used for generating economic scenarios under either a real-world or risk-neutral measure. It can be used by clients for setting investment strategy benchmarks, portfolio construction, ALM, pricing, capital setting and the market consistent valuation of options and guarantees.
Our philosophy is to transfer knowledge and empower clients to control the outputs from our models. Extensive documentation and a comprehensive suite of training are included within the licence agreement. Most importantly we deploy intuitive calibration tools that easily allow clients to control the model outputs. Technical specialists located in North America, Europe and Asia are on hand to provide local support to our global client base.