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ease
features
design
support

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Description

The IRIS workflow addresses the global concern of managing active counterparty credit risk by encompassing various processes from the acquisition of trading data to the re-booking of trades, which includes tasks like curve stripping, consistent pricing, an extensive aggregation module, the computation of hedge requirements, and the analysis of What-if scenarios. It is designed as a parallel distributed application that optimally leverages multi-core systems for efficient performance. Additionally, an HPC solution utilizing GPU and multicore processors is available to enhance the speed of pricing and Greeks computations. A significant design objective is the capability to integrate IRIS engines seamlessly into existing complex systems. Utilizing the .NET development framework facilitates interoperability and compatibility with other programming languages. IRIS also fully supports FpML and various market data providers such as Reuters, Bloomberg, and Markit, which guarantees smooth integration of data streams. Furthermore, the internal data within IRIS is completely accessible, allowing for comprehensive auditing of computation details, which adds an extra layer of transparency and trust in the system's outputs. Overall, the IRIS workflow is a robust solution for modern credit risk management challenges.

Description

For hedge funds and their service providers, having an effective and versatile system to recognize and assess market risk is essential, and RiskAPI delivers just that. It enables the rapid establishment of a portfolio risk management framework for hedge funds while keeping costs low. By measuring exposure across clients, you can equip them with tools for managing portfolio risk, offering analytics and comprehensive reporting. Fund clients can also benefit from enhanced multi-asset and multi-currency portfolio risk reporting as an added value. Furthermore, integrating advanced portfolio risk analytics into pre-trade processes creates a formidable advantage. PortfolioScience focuses on developing risk management technology tailored for financial institutions, investment services, financial advisors, hedge funds, and commodity producers. Their cloud-based RiskAPI® service empowers fund managers, advisors, traders, and participants from both the buy-side and sell-side to access essential risk analysis tools whenever needed. RiskAPI encompasses all necessary data and features, ensuring that users can make informed decisions efficiently. With its robust capabilities, RiskAPI stands out as a vital asset in the realm of financial risk management.

API Access

Has API

API Access

Has API

Screenshots View All

Screenshots View All

Integrations

No details available.

Integrations

No details available.

Pricing Details

No price information available.
Free Trial
Free Version

Pricing Details

$300 per month
Free Trial
Free Version

Deployment

Web-Based
On-Premises
iPhone App
iPad App
Android App
Windows
Mac
Linux
Chromebook

Deployment

Web-Based
On-Premises
iPhone App
iPad App
Android App
Windows
Mac
Linux
Chromebook

Customer Support

Business Hours
Live Rep (24/7)
Online Support

Customer Support

Business Hours
Live Rep (24/7)
Online Support

Types of Training

Training Docs
Webinars
Live Training (Online)
In Person

Types of Training

Training Docs
Webinars
Live Training (Online)
In Person

Vendor Details

Company Name

Global Market Solutions

Founded

2010

Country

France

Website

www.globms.net/products/iris/

Vendor Details

Company Name

PortfolioScience

Website

www.portfolioscience.com

Product Features

Financial Risk Management

Compliance Management
Credit Risk Management
For Hedge Funds
Liquidity Analysis
Loan Portfolio Management
Market Risk Management
Operational Risk Management
Portfolio Management
Portfolio Modeling
Risk Analytics Benchmarks
Stress Tests
Value At Risk Calculation

Product Features

Financial Risk Management

Compliance Management
Credit Risk Management
For Hedge Funds
Liquidity Analysis
Loan Portfolio Management
Market Risk Management
Operational Risk Management
Portfolio Management
Portfolio Modeling
Risk Analytics Benchmarks
Stress Tests
Value At Risk Calculation

Hedge Fund

Compliance Management
Contact Management
Investor Accounting
Investor Reporting
P&L Calculation
Partnership Accounting
Performance Analysis
Portfolio Analysis
Portfolio Management

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