Riskdata solution makes asset managers’ life easier while computing all risk indicators for all asset classes with state-of-the-art mathematical models. Our teams take care of all data requirements which make the implementation easy and quick.
We give risk managers, quantitative analysts and portfolio managers the tools to be smarter and to perform proactive risk management. Our real-time computation technology allows achieving efficient post and pre trade management to know where risk is coming from and how to reduce it.
Riskdata operates internationally with buy-side financial institutions mainly based in New York, London, Paris and Frankfurt, ranging from start-up Hedge Funds to large Asset Managers.
Riskdata was named “Best Risk Management Solution” at the Wealth & Finance Alternative Investment Awards in 2015.
6, rue de l’Amiral Coligny
75001, Paris, FRANCE
+33 1 44543500
You are lazy? Improving yourself has never been your priority? You think all people working in finance are pure evil? You don’t like (working with) foreigners? We want you… to join our competitors.
If you have answered “no” to all of the above questions, please have a look at our career opportunities.
Riskdata is proud to be working with FORRS, a specialized consultancy for solution integration, in order to efficiently conduct integration projects.
FORRS is a business and integration consulting company run by seasoned experts in the trading and risk management industry. FORRS is based in Germany, having vast experience in conducting projects successfully on national and international level and at any scale. FORRS operates with a focus on asset and risk management in the Banking, Insurance, Energy and Fund Management industries.
The possibility to run drill-downs into my portfolio and to make pre-trade simulations to have a complete view of the risk involved gives me not only the tool to better perform risk management but also an argument to reassure my investors.