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Average Ratings 0 Ratings

Total
ease
features
design
support

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Write a Review

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 Soborro Portfolio Risk Profiler serves as an online tool designed for evaluating the potential behavior of investment portfolios in various economic and market climates. By allowing users to establish a portfolio and select long-term economic scenarios, the platform enables them to analyze projected outcomes across different scenario paths. The results reveal possible gains and losses, assisting users in understanding how their portfolio's exposure to equities, interest rates, inflation, credit, and other modeled factors influence overall risk. This analysis is particularly beneficial for asset managers, investment researchers, and professionals who advise pension funds and insurance companies, as they can utilize it to compare different allocations, validate investment assumptions, facilitate portfolio construction, and evaluate risk over extended time frames. Furthermore, the scenario outcomes aid in both investment research and client assessments, providing valuable insights. Offered as a cloud-based service, the Portfolio Risk Profiler is accessible through a subscription model that enhances its usability for a wide range of financial professionals.

API Access

Has API No 

API Access

Has API No 

Screenshots View All

Screenshots View All

No images available

Integrations

AccessFintech Yes 

Integrations

AccessFintech No 

Pricing Details

No price information available.
Free Trial No 
Free Version No 

Pricing Details

$199/month
Standard subscription: $199 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 No 
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) No 
In Person No 

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

Soborro Research

Founded

2020

Country

United Kingdom

Website

www.soborro.com/products/risk-profiler

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 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 

Alternatives

Alternatives

No Alternatives
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