White Paper

Creating Flexible Risk Reporting

Company: Broadridge Financial Solutions, Inc.

Broadridge Financial Solutions, Inc. case study

Category: Market Risk

Published: 29 July 2014




Hedge funds need a flexible, adaptable risk management system capable of delivering information to multiple stakeholders: regulators, investors and internal risk and compliance. This paper looks at how investment management, reference data and risk technology can help organisations effectively function within new regulatory environments by leveraging risk systems across multiple asset classes to identity more efficient trading solutions.

Categories related to Market Risk