The Lombard Risk integrated product suite enables financial institutions to meet risk and regulatory requirements now and as they continue to evolve for collateral management, liquidity and capital stress testing and analysis, regulatory compliance – including Dodd-Frank Act – and management/business information and reporting
Trade with confidence. Transact with accuracy
OBERON: global trade capture, valuation and risk management
OBERON is an integrated, multi-currency system for the trading and risk management of interest rate derivatives and inflation derivatives, FX, money market and fixed income portfolios.
For financial institutions operating in today’s volatile markets, exposure to risk is a constantly evolving threat. The volume and breadth of instruments traded is increasing at a rapid rate, and compliance requirements from investors and regulators are constantly in flux. Organisations need access to a fast and accurate trading and risk management system, able to react quickly to sudden movements in the markets.
Lombard Risk provides OBERON, a proven and reliable solution, specifically designed to meet these business needs. OBERON is a complete front-to-back system, providing a consolidated view across trading and risk management, covering a wide range of asset classes.
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