Solutions


Innovation, scalability and time-to-market

We have been serving global leaders in the Asset Management and Wealth Management industries since 2001. Embedded with leading portfolio management systems, regulatory reporting platforms, and core banking technology providers, our APIs serve today product manufacturers, distributors and institutional investors.

Smart Risk APIs help our partners develop innovative services for their clients, ensure scalability of their solution and achieve unbeatable time-to-market.


Power up your fund distribution platform with smart analytics

KEY FEATURES

Portfolio monitoring

Factor exposures

Smart fund screening

BENEFITS

Efficient distribution

Tailored advice

Proactive alerts


Optimize insurance portfolios with Solvency II constraints

KEY FEATURES

Portfolio optimization on SCR and realized profit

Fully integrated with a leading core banking system

BENEFITS

Consistency

Operational efficiency

Control of SCR level


Industrialize the computation of regulatory risk metrics

KEY FEATURES

Mifid II : PRIIPS and performance scenarios

Solvency II : SCR

AIFMD : VaR and liquidity

BENEFITS

Industrialization

Evolutivity

Operational efficiency


Digital dashboards for instant portfolio monitoring

KEY FEATURES

Suitability gap analysis

Aggregated smart analytics

Model portfolios

BENEFITS

Large scale calculation

Proactive advice

Tailored suggestions


Tailored investment proposal for UHNW clients

KEY FEATURES

Portfolio diagnostic

Portfolio optimization

Simulations

BENEFITS

Tailored proposals

Transparency

Reporting automation