Financial Risk Analytics
Company Name: S&P Global Market Intelligence
Regions: Global
Subcategories: Asset Valuation Risk, Hedging Risk
Financial Risk Analytics provides comprehensive solutions for risk management, including real-time insights on valuation adjustments (XVA), buy side risk management tools (such as VaR calculations and stress testing), counterparty credit risk management, and support for regulatory and market risk requirements. These cloud-based solutions are designed to help financial institutions on both the sell and buy side navigate complex risk landscapes efficiently and effectively.
Visit https://www.spglobal.com/market-intelligence/en/solutions/financial-risk-analytics to learn more.