UnRisk offers a selected range of products that enable financial institutions to focus on in-time decision support for managing risk from the single deal type to the large and diversified portfolio. For enterprise-wide pricing and analytics strategies all products access the same ultrafast but accurate and robust valuation engines that avoid cross model & method risk which usually becomes horrible in interplay. We have transfered cross-sectoral math solutions to finance.
Sectors: Financial institutions, especially Banks, Capital Management, Asset Management, Hedge Funds. Insurance. Corporate. Auditors and Regulators.
Professionals: Trader, Treasurer, Asset Manager, Quant, Product- and Risk Conroller, Risk Manager, Auditor, Revisor.
Asset Classes: Fixed Income, Inflation, Equity, FX, Convertibles, Credit, Commodities
UnRisk incorporates a mix of the latest technologies that can be easily tied together to new uses and solutions