RiskAPI® (Risk Application Programming Interface)
For Hedge Funds
Set up a risk management infrastructure for your fund in record time and minimum cost. Generate robust risk reports and perform dynamic exposure simulations. Meet both investor and internal requirements for risk control. Avoid costly back office integration.
For Portfolio Managers
Understand exposure. Benchmark risk to hundreds of indexes, commodities, or ETF's, domestic or international, single, or multi-currency. Run simulations over flexible data sets to gauge the risk/reward of your holdings.
For Prime Brokers
Measure your client-wide exposure. Provide your clients with dynamic risk analytics and robust reporting. Users can instantly generate dynamic Value at Risk (VaR), beta, correlation, and more. Deploy RiskAPI to every fund client, under your own brand, at minimum cost.
For Fund Administrators
Provide your clients with a multi-asset, multi-currency risk reporting as a value-added service. Instantly add a whole spectrum of risk calculations to your existing account reporting framework. Paired with RiskAPI, the result represents unprecedented value to both current and future clients.
For Execution Providers
The real-time nature of RiskAPI allows you to provide your clients with position risk no matter how many trades they do every day. Users can instantly generate dynamic Value at Risk (VaR), beta, correlation, and more. Integrate sophisticated risk analytics into your pre-trade functionality, a winning combination.
RiskAPI: Advanced & Affordable Value at Risk (VaR) Software
