Average Ratings 0 Ratings
Average Ratings 0 Ratings
Description
Risk Master enables mutual funds and ETF providers to effectively manage their market and credit risk across various asset classes and investment strategies. Users can seamlessly conduct historical scenario analyses, compute Value at Risk (VaR), and implement stress factors for thorough risk evaluations. Our risk management platform, hosted in the cloud, is seamlessly integrated with both our order management (OMS) and portfolio management (PMS) systems within a single interface. Streamline your risk exposure management approach with our innovative solutions. Our dedicated representatives and specialists are prepared to offer the assistance you need to propel your business forward. By leveraging our expertise and data-driven solutions, you can concentrate on your primary business objectives while ensuring compliance with regulatory mandates. Asset managers prefer Broadridge's platform for its reliability and effectiveness. As a leader in global Fintech with revenues exceeding $5 billion, Broadridge delivers essential infrastructure that supports investing, corporate governance, and communication, ultimately fostering improved financial well-being. This commitment to excellence ensures that our clients can navigate the complexities of the financial landscape with confidence.
Description
The RC-ICAAP and Stress Testing System empowers financial institutions, including banks and asset managers, to conduct Pillar II capital calculations and create stress test projections that address the comprehensive range of risks mandated by regulatory authorities. We specialize in the development and licensing of enterprise software that employs stringent risk methodologies, serving a global clientele of top-tier banks, asset managers, investment funds, and public entities. Our commitment to continuous innovation ensures that our software is consistently updated with new features and enhancements. Furthermore, the Risk Control software is engineered for seamless integration with both upstream and downstream systems already in place at client organizations. This capability allows Risk Control to customize flexible software platforms that deliver tailored solutions to meet the precise requirements of each client, ultimately enhancing their risk management processes. By prioritizing adaptability and user-friendly design, we strive to provide tools that not only meet regulatory standards but also support our clients in navigating complex financial landscapes.
API Access
Has API
No
API Access
Has API
No
Integrations
AccessFintech
No
Pricing Details
No price information available.
Free Trial
No
Free Version
No
Pricing Details
$4000 per month
Free Trial
No
Free Version
No
Deployment
Web-Based
Yes
On-Premises
No
iPhone App
No
iPad App
No
Android App
No
Windows
No
Mac
No
Linux
No
Chromebook
No
Deployment
Web-Based
Yes
On-Premises
No
iPhone App
No
iPad App
No
Android App
No
Windows
No
Mac
No
Linux
No
Chromebook
No
Customer Support
Business Hours
Yes
Live Rep (24/7)
Yes
Online Support
Yes
Customer Support
Business Hours
Yes
Live Rep (24/7)
No
Online Support
No
Types of Training
Training Docs
Yes
Webinars
No
Live Training (Online)
No
In Person
Yes
Types of Training
Training Docs
No
Webinars
No
Live Training (Online)
Yes
In Person
Yes
Vendor Details
Company Name
Broadridge
Country
United States
Website
www.broadridge.com/financial-services/asset-management/mutual-funds-etf/simplify-regulatory-reporting/credit-and-market-risk
Vendor Details
Company Name
Risk Control
Founded
2000
Country
United Kingdom
Website
www.riskcontrollimited.com
Product Features
Financial Risk Management
Compliance Management
No
Credit Risk Management
No
For Hedge Funds
No
Liquidity Analysis
No
Loan Portfolio Management
No
Market Risk Management
No
Operational Risk Management
No
Portfolio Management
No
Portfolio Modeling
No
Risk Analytics Benchmarks
No
Stress Tests
No
Value At Risk Calculation
No
Product Features
Financial Risk Management
Compliance Management
No
Credit Risk Management
Yes
For Hedge Funds
Yes
Liquidity Analysis
Yes
Loan Portfolio Management
Yes
Market Risk Management
Yes
Operational Risk Management
No
Portfolio Management
Yes
Portfolio Modeling
Yes
Risk Analytics Benchmarks
Yes
Stress Tests
Yes
Value At Risk Calculation
Yes