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.

Risk Management

This blog will discuss a variety of topics relevant to the derivatives market and the finance industry in general. We'll be exploring some of the more complex financial engineering concepts, key business issues facing finance professionals as well as reviewing various aspects of systems integration and performance.

by James Church | June 13, 2017

  • Regulations
  • Risk Management

by Alan Morley | May 18, 2017

  • Risk Management
  • derivatives analytics platform

by Russell Goyder PhD | April 12, 2017

  • AAD
  • Risk Management

by Rob Garfield | February 21, 2017

  • Risk Management
  • derivatives analytics platform

by Rob Garfield | February 14, 2017

  • Risk Management
  • financial architecture

by Rob Garfield | January 20, 2017

  • scenario analysis
  • Risk Management
  • derivatives analytics platform

by Rob Garfield | December 06, 2016

  • Derivative News
  • fintech
  • Risk Management
  • derivatives analytics platform
  • financial modelling

by James Gavin | September 20, 2016

  • Risk Management

by John Hull PhD | August 16, 2016

  • Hull and White
  • Risk Management
  • xVA

by Rob Garfield | August 03, 2016

  • Negative Rates
  • rates
  • Risk Management

by Rob Garfield | July 19, 2016

  • Quantitative Finance
  • Real world modelling
  • Risk Management
  • derivatives analytics platform
  • financial architecture
  • financial modelling

by Rob Garfield | January 27, 2016

  • Risk Management

by George Li | December 02, 2015

  • Risk Management

by Christian Kahl PhD | November 23, 2015

  • Risk Management

by Matthew Streeter CFA | September 15, 2015

  • Regulations
  • Risk Management
  • Insurers
  • Solvency II

by Matthew Streeter CFA | July 09, 2015

  • AIFMD
  • asset managers
  • EMIR
  • insurance
  • pension funds
  • Risk Management
  • Buy-side risk
  • Live Events
  • Solvency II

by Nik Venema | March 16, 2015

  • Industry Events
  • Quantitative Finance
  • Risk Management
  • financial modelling

by Matthew Streeter CFA | February 26, 2015

  • Derivative News
  • Industry Events
  • Risk Management
  • Buy-side risk
  • counterparty credit risk
  • derivatives analytics platform
  • financial architecture
  • financial modelling
  • Live Events

by Matthew Streeter CFA | December 08, 2014

  • Industry Events
  • Risk Management

by Nik Venema | May 05, 2014

  • Industry Events
  • Regulations
  • Risk Management
  • Uncategorized

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