Enterprise Valuation & Risk Analytics forDerivative and Fixed Income Portfolios
Modeling and Analytics
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Python has gained incredible popularity throughout the world, including in the financial markets. Learn more by checking out these five informative Python resources.Read more
How does prepayment risk manifest itself and how do we model it? FINCAD’s Sham Yapa explains.Read more
Learn about three FINCAD clients that have overcome common investment and risk challenges using the flexibility of our portfolio and risk solutions.Read more
A comprehensive Python toolkit has been added to FINCAD F3, enabling traders, quants, portfolio managers and risk managers to rapidly generate custom analytics, applications and reports to drive better investment and risk decisions. Read more
FINCAD F3 VIDEO