Asset managers gain a comprehensive and easy-to-use suite of analytics to keep on top of derivative activity by implementing a FINCAD solution. With FINCAD’s broad instrument coverage and consistent output, managers can quickly and easily do pricing, risk assessment and deal prototyping for themselves and clients.
FINCAD’s Advantage
By having access to FINCAD’s inclusive set of instrument analytics, managers of almost all portfolio types acquire the ability to price multi-asset positions, benchmark transactions and view information in a consistent and reliable format that is available to anyone in their organization.
FINCAD’s Advantage allows Asset Managers to:
- Value and measure the risk of a portfolio across all major derivative asset classes including interest rates, fixed income, credit, inflation, options and more.
- Comply with industry regulatory and compliance standards while accurately evaluating alternatives and measuring risk.
- Benchmark against internal systems with independent calculations.
- Reduce costs and duplication of development efforts; FINCAD Analytics are available in accessible Excel based systems or as integrated libraries for existing systems.
- Increase the transparency and availability of analytical models across an organization reducing risk and increasing productivity.