D&B Risk Analytics
Globally, teams in risk, procurement, and compliance are under pressure to manage geopolitical risks and business risks. Third-party risks are impacted by the complexity of domestic and international businesses, as well as complex and diverse regulations. It is crucial that companies proactively manage third-party relationships. This cutting-edge platform, powered by D&B Data Cloud's 520M+ Global Business Records with 2B+ annual updates for third-party risks, is an AI-powered solution that mitigates and monitors counterparty risk on a continual basis. D&B Risk Analytics uses best-in class risk data, including alerts for high-risk purchases and match points of more than a billion. This helps to drive informed decisions. Intelligent workflows allow for quick and thorough screening. Receive alerts on key business indicators.
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Banker's Dashboard
Access your bank's or credit union's financial performance from anywhere, anytime. Secure, cloud-based access gives you insight into your bank's financial performance. With a few clicks, you can access margin components, branch performance, forecasts, and more. The Banker's Dashboard and Credit Union Dashboard integrate seamlessly with your core processor. Easy setup allows you to immediately improve your bottom line. Automate reporting and eliminate errors so you can focus on higher-value tasks. Multiple forecast scenarios can be quickly run and revised, allowing you to analyze variances and other strategies. Compare branch performance. For better results, institute best practices and hold branches accountable.
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FiscalNote
FiscalNote is a leading information services company that focuses on global policy and market intelligence. FiscalNote is reinventing how organizations can minimize risk and maximize opportunities by combining AI technology, expert analytics, and legislative, regulatory and geopolitical information.
FiscalNote empowers over 5,000 clients around the world to monitor, manage and act on the most important issues.
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Datafinia
Datafinia offers a comprehensive quantitative research platform tailored for institutional use, integrating AI-enhanced market insights, quantitative scanners, portfolio optimization tools, and live data within a single financial analytics terminal. This platform is crafted to empower dedicated traders, analysts, and institutions to rely on data rather than speculation by consolidating real-time market feeds, interactive candlestick charts, technical indicators, past market data, regulatory reports, news releases, macroeconomic metrics, fixed income analyses, fundamental assessments, analyst forecasts, financial documentation, and portfolio management features in one cohesive research space. It encompasses a wide range of global, multi-asset markets, facilitating workflows in equities, bonds, commodities, currencies, cryptocurrencies, forex, and international market information. Additionally, Datafinia’s quantitative scanners enable users to efficiently uncover assets that are structurally mispriced by utilizing Z-score filtering, allowing them to pinpoint significantly undervalued prospects and highlight excessive risk based on historical regression analysis. This powerful toolset not only enhances investment strategies but also significantly aids in making informed decisions in a complex financial landscape.
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