An asset manager sought to replace an inflexible risk system provided by a Wall Street dealer. The portfolio was diverse, with a sizable concentration in structured securities and mortgage assets.
The legacy analytics system was rigid with no flexibility to vary scenarios or critical investor and regulatory reporting.
The Solution
RiskSpan’s Edge Platform delivered a cost-efficient and flexible solution by bundling required data feeds, predictive models for mortgage and structured products, and infrastructure management.
The Platform manages and validates the asset manager’s third-party and portfolio data and produces scenario analytics in a secure hosted environment.
Models + Data management = End-to-end Managed Process
The Edge We Provided
”Our existing daily process for calculating, validating, and reporting on key market and credit risk metrics required significant manual work… [Edge] gets us to the answers faster, putting us in a better position to identify exposures and address potential problems.”
— Managing Director, Securitized Products