Lombard Risk - Solutions for Asset Managers
Asset Manager Solutions     
Liquidity Stress Testing, Collateral Management,
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Solutions for Asset Managers

The Best Managed Asset Managers Have Chosen Lombard Risk!

Increased demand for more operational transparency. Increasingly complex investment strategies necessitate improved risk controls. Greater operational nimbleness is vital to respond to changing market conditions. Lombard Risk understands these pressures and provides risk management and financial compliance solutions to accelerate your ability to invest in increasingly complex global opportunities without increasing risk exposure.

Proven risk management and financial compliance solutions

Hedge Funds and Asset Managers take a more active role the management of their business to respond to increased regulation, diversified portfolio strategies, and a greater degree of leveraged trading. Historically risk management and compliance solutions were reserved for the big banks. Today, Hedge Funds and Asset Managers of all sizes can benefit directly by deploying solutions or taking advantage of hosted services to take more control over their business processes concerning risk and compliance.

 
 
  Collateral Management   Trade Capture, Valuation & Analysis
Colline®
Make The Most Of Your Collateral,
Because Liquidity Matters.
  Oberon®
Exploit Instantaneous Market Data to Capture Investment Returns
     
  Stress Testing & Risk Analysis     Credit & Equity Valuation
STB-ScenarioManager
What If – Be Prepared. Keep A Watchful Eye On Operational and Financial Risk.
  Firmament®
Reduce Credit and Market Risk, and Identify Valuable Arbitrage Opportunities.
     

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