Resources

FINCAD offers the most transparent solutions in the industry, providing extensive documentation with every product. This is complemented by an extensive library of white papers, articles and case studies.

FINCAD Blog

by Rob Garfield | December 05, 2017

  • derivatives analytics platform

by Andrew Stakiwicz | November 29, 2017

  • derivatives analytics platform
  • financial architecture

by James Church | November 28, 2017

  • operational risk
  • derivatives analytics platform

by David Fletcher | November 21, 2017

  • EMIR
  • regulation
  • Regulations
  • Risk Management
  • Solvency II

by Rob Garfield | November 15, 2017

  • derivatives analytics platform
  • financial architecture

by James Church | November 08, 2017

  • Buy-side risk

by Per Eriksson | October 31, 2017

  • PVO

by James Church | October 26, 2017

  • Risk Management

by Rob Garfield | October 11, 2017

  • financial architecture
  • financial modelling

by James Church | September 20, 2017

  • derivatives analytics platform
  • financial architecture

by Rob Garfield | September 12, 2017

  • financial modelling

by Benjamin Luk | September 06, 2017

  • financial architecture

by Rob Garfield | August 23, 2017

  • Risk Management
  • derivatives analytics platform
  • financial architecture
  • financial modelling

by Russell Goyder PhD | August 15, 2017

  • AAD

by James Gavin | August 09, 2017

  • financial modelling

by Robert Park | August 02, 2017

  • operational risk
  • Risk Management
  • derivatives analytics platform
  • financial architecture

by Jonathan Rosen PhD | July 27, 2017

  • operational risk
  • Real world modelling

by Marcus Varnai | July 18, 2017

  • financial architecture

by Eric Peng | July 05, 2017

  • Uncategorized

by Rob Garfield | June 21, 2017

  • AAD
  • Algorithmic Differentiation
  • employment
  • Negative Rates
  • Real world modelling
  • financial modelling

Pages

Video

F3 Video

The next generation of powerful valuation and risk solutions is here.

Brochure

F3 Brochure

Portfolio valuation and risk analytics for multi-asset derivatives and fixed income.