Products Overview
RizkLab offers solutions for i) holistic portfolio market risk management,
ii) fixed income attribution & risk analysis, and iii) portfolio optimization...

RizkManager evaluates and gives you control over your portfolio market risks. Analyze across your asset classes simultaneously to find the total market risk for individual or consolidated portfolios. This helps you to stay within your risk limits and mandates as well as make better and timelier investment decisions. RizkManager is available for the EMEA region (Europe, Middle East & Africa).

BondModel can synthetically price your fixed income instruments as well as perform fixed income performance attribution & risk analysis. BondModel is currently available for the Nordic region.

EquityModel can perform portfolio optimization & analysis of your equity portfolios. EquityModel is available for the Nordic region and for special cases within EMEA.