Our Intelligent and Integrated tools allow 'Buy side' and 'Sell side' institutions to explore trading using a spread basis between underlying, derivatives, and hedge risk associated it. Our tool also allows credit traders to explore various trading opportunities.
Our Tools provide Trading and Risk solutions for Corporate Bonds, Credit Derivatives such as a Credit Default Swap(Single Name CDS and Index), LCDS, MCDS, Index Option, FTD , Office the run Indices. Our services enable financial institutions to streamline workflow, connect with counterparties more effectively, and comply with regulatory requirements.
Risk analysis is a technique used to identify and assess factors that may jeopardize the success of a project or achieving a goal. This technique also helps to define preventive measures to reduce the probability of these factors from occurring and identify countermeasures.
Why do we need an Integrated Credit Trading Platform? Credit Trading missteps in 2005 (Liquidity and Correlation Risk caused by GM/Ford downgrade) or 2008 (Basis Blow up): Merrill Lynch’s $16 billion loss in the fourth quarter of 2008 certainly ranks very high up there in the analysis of investment-bank blowups.
We work with the world’s leading organizations to provide collaborative solutions to their business and IT challenges with innovative ideas that are embraced by their customers. Professionals around the world leverage deep industry, knowledge in different verticals including Banking, Financial Services, Healthcare, Retail, and Consumer Goods, and Insurance to deliver robust digital solutions in key areas of client growth.