Enterprise Portfolio & Risk Analytics forMulti-Asset Derivatives & Fixed Income
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Numerous banks are reducing costs and improving operational efficiency by outsourcing regulatory reporting to a trusted third-party.Read more
Discover ways to eliminate the challenges of modeling negative interest rates.Read more
In our upcoming webinar, speakers from Greenwich Associates and FINCAD will explore the future of RiskTech for buy-side firms.Read more
Chartis Research has named FINCAD a best-of-breed provider of portfolio and risk analytics in its Hedge Fund Risk Management Technology 2018 report. Read more