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EXVaR Risk Management

Financial risk management in real-time. Full Monte-carlo Value-at-Risk. Integrated credit and market Risk, probabilistic and deterministic stress scenarios. Chosen by Paris exchange.

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Description: EXVaR Risk Management: Risk Software suite - Chosen By Paris Bourse to manage Financial Risk in Real-time with Full Monte-Carlo VaR
  Stochastics Financial Software (SFS) SA. provides Software for Desk level and enterprise wide Financial Risk Management. Real-time Monte-Carlo Risk methodologies based on Value at Risk (VaR). EXVaR's Risk Software gives a High Class & Cutting edge integrated measure of Market Risk and Credit & liquidity Risk and allows the risk manager to perform Stress Scenario Generation, Portfolio optimization and hedging and accurate management of derivatives Risk. Products include EXVaR Clearing for Clearing houses and brokers, EXVaR Suite for banks and money managers. Risk instrument coverage includes vanilla options, Futures, a number of exotic options, currencies, physical oil, commodities, stocks, indexes. Where there is volatility in the Market EXVaR is the right Risk management solution.
Category: Software\Risk Management
  Stochastics - Stochastics Financial Software - Sfs - Risk Management - Risk - Financial Software - Value At Risk - Var - Market Risk - Credit Risk - Counterpart Risk - Liquidity Risk - Clearing Risk - Clearingrisk - Monte-Carlo - Monte-Carlo Var - Real-Time Var - Derivatives - Portfolio Hedging - Financial Risk - Oil Trading - Physical Oil - Commodities - Trading Risk - Currency Risk - Derivatives & Risk - Options - Futures - Riskmetrics

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