Enterprise Portfolio & Risk Analytics forMulti-Asset Derivatives and Fixed Income
Modeling and Analytics
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Because mortgage-backed securities (MBS) are complex instruments, many struggle with modeling them. Here we give tips for success.Read more
It’s common practice for firms to look at market value alone when valuing a security. However, there are substantial risks to this approach. FINCAD’s Christian Kahl, PhD, discusses a better way.Read more
Learn how leading buy-side firms are minimizing the operational risks of Excel.Read more
Discover how to enhance performance and respond faster to market opportunities using flexible valuation and risk systems. Read more
FINCAD F3 VIDEO