Nuant is a Portfolio and Risk Management platform tailored for professionals to monitor and assess the risk of their digital asset portfolio.
Unified Monitoring: Nuant’s Portfolio Management System revolutionizes the way you monitor digital assets. With its ability to handle diverse asset types including spot, derivatives, DeFi, and various equity forms (Public, Private, SAFT, SAFE), along with integration across DeFi, CeFi, and TradFi systems, it promises an all-encompassing asset management experience.
Advanced Risk Management: Nuant redefines risk management by incorporating essential finance metrics such as the Sharpe Ratio, Volatility, Maximum Drawdown, and Calmar Ratio. This integration significantly improves your ability to assess and manage risks effectively.
Simulation Engine: Nuant’s simulation engine, equipped with back-testing, forecasting, and advanced stress testing capabilities, offers a thorough approach to strategy evaluation. The engine’s features, including DeFi Protocol Behavior Replication and Cross-Chain Strategy Simulation, provide deep insights for refined strategic decision-making