Enterprise Portfolio & Risk Analytics forMulti-Asset Derivatives and Fixed Income
Modeling and Analytics
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Discover why, in many areas, Python is beating out Excel as the tool of choice for the financial industry.Read more
Here we discuss the release of our new Blog Digest, which highlights five of our most popular blog posts on solving modeling challenges.Read more
Recent research from Greenwich Associates helps us understand what characteristics define high-caliber buy-side valuation and risk technology.Read more
Buy-side firms are exploring new instruments and asset classes in a fierce search for yield, but are challenged by the inflexibility of their modeling technology. Discover how they are adapting. Read more
FINCAD F3 VIDEO