Asset management and fund management business - Ready at once.
Unique turnkey solution which encompasses Asset, Fund, Sales and Customer management. All in one platform.
Portfolio performance and risk analysis with interactive graphical drill down attribution and one-click PowerPoint reporting.
Simulation model for Solvency II that allows implementing both standard and internal models for MCEV/SCR calculations as well as own risk and solvency assesment (ORSA).
Precise measuring of risks with full valuation and Monte Carlo and/or historic simulation.
Covers all risk classes, including volatility and credit spread risks