Today's derivative market participants are exposed to a broad range of market risks from financial market uncertainty to pressures brought on by constantly evolving regulations and their implications.

Be it at the desk level or enterprise level, managing the wide array of risks that can impact your business poses significant challenges. With Numerix as your technology and advisory partner, our experienced team can help you develop a real-time risk management framework that employs a holistic, integrated approach to market risk.

Numerix Market Risk solutions help you achieve insight and transparency into your market risk exposures, from clearing and settlement costs and uncertainties to with ever-shifting foreign exchange and interest rate exposures. We provide robust scenario analysis, limits monitoring, comprehensive stress testing capabilities and consistent, powerful real-time risk reporting across your entire enterprise—pre-and post-trade, at both the desk and portfolio level.

Market Risk Solutions

With a customizable infrastructure at its core, Oneview Risk provides real-time, pre-and post-trade Market Risk analytics—at both the desk and enterprise level.
Oneview Market Risk supports enterprise risk management with a full suite of real-time,...
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Our Numerix financial engineers can work with complex, portfolio level models, which often have a lot of subjectivity involved, and validate each element of the model against the market best practice. Various forms of standard back testing and...
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Numerix CrossAsset Excel provides unprecedented flexibility for structuring, pricing and managing even the most complex derivatives and structured products—all in the Microsoft© Excel environment that traders and structurers are already accustomed...
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