What is Riskdata?

Riskdata delivers a comprehensive solution for asset managers by providing extensive risk metrics across multiple asset categories, utilizing sophisticated mathematical models. Our committed teams manage all essential data, making the implementation process both quick and easy. We equip risk managers, quantitative analysts, and portfolio managers with the necessary tools to improve their decision-making capabilities and to engage in proactive risk management strategies. With our state-of-the-art real-time computing technology, we enable effective management of risks both prior to and following trades, helping users recognize potential risk sources and develop strategies for mitigation. Operating on a global scale, Riskdata partners with buy-side financial institutions mainly located in key financial centers such as New York, London, Paris, and Frankfurt, serving a wide range of clients from emerging hedge funds to large-scale asset management firms. Furthermore, we are proud to collaborate with FORRS, a consultancy that specializes in solution integration, which allows us to carry out integration projects smoothly and efficiently, ensuring that our clients receive the necessary support throughout the entire process. In this way, we continually strive to enhance our services to meet the evolving needs of the financial sector.

Pricing

Price Starts At:
$2000 per month

Integrations

No integrations listed.

Screenshots and Video

Riskdata Screenshot 1

Company Facts

Company Name:
Riskdata
Date Founded:
1999
Company Location:
France
Company Website:
www.riskdata.com

Product Details

Deployment
SaaS
Windows
Training Options
Documentation Hub
Support
Standard Support
Web-Based Support

Product Details

Target Company Sizes
Individual
1-10
11-50
51-200
201-500
501-1000
1001-5000
5001-10000
10001+
Target Organization Types
Mid Size Business
Small Business
Enterprise
Freelance
Nonprofit
Government
Startup
Supported Languages
English

Riskdata Categories and Features

Financial Risk Management Software

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