A extensive cloud-based risk management solution enables portfolio managers, traders, and risk managers to effectively identify and analyze market risk and exposure. Key features include multi-model Value at Risk (VaR) calculations, stress testing, exposure analysis, and automated reporting, addressing the challenges of risk assessment and portfolio optimization for hedge funds, broker-dealers, and commodity producers.
RiskAPI 可以在以下位置找到: Energy Trading & Risk Management 类别。
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